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Abstract
River estuaries are characterized by mixing processes between freshwater discharge and marine water masses. Since the first are depleted in heavier stable isotopes compared with the marine realm, estuaries often show a linear correlation between salinity and water stable isotopes (δ18O and δ2H values). In this study, we evaluated spatial and seasonal isotope dynamics along three estuarine lagoon transects, located at the northern German Baltic Sea coast. The data show strong seasonality of isotope values, even at locations located furthest from the river mouths. They further reveal a positive and linear salinity‐isotope correlation in spring, but ‐in two of the three studied transects‐ hyperbolic and partially reverse correlations in summers. We conclude that additional hydrological processes partially overprint the two‐phase mixing correlation during summers: aside from the isotope seasonality of the riverine inflows, the shallow inner lagoons in the studied estuaries are influenced by evaporation processes. In contrast the estuarine outflow regions are under impact of significant salinity and isotope fluctuations of the Baltic Sea. Deciphering those processes is crucial for the understanding of water isotope and salinity dynamics. This is also of relevance in context of ecological studies, for example, when interpreting oxygen and hydrogen isotope data in aquatic organisms that depend on ambient estuarine waters.
Human-driven peatland drainage has occurred in Europe for centuries, causing habitat degradation and leading to the emission of greenhouse gases. As such, in the last decades, there has been an increase in policies aiming at restoring these habitats through rewetting. Alder (Alnus glutinosa L.) is a widespread species in temperate forest peatlands with a seemingly high waterlogging tolerance. Yet, little is known about its specific response in growth and wood traits relevant for tree functioning when dealing with changing water table levels. In this study, we investigated the effects of rewetting and extreme flooding on alder growth and wood traits in a peatland forest in northern Germany. We took increment cores from several trees at a drained and a rewetted stand and analyzed changes in ring width, wood density, and xylem anatomical traits related to the hydraulic functioning, growth, and mechanical support for the period 1994–2018. This period included both the rewetting action and an extreme flooding event. We additionally used climate-growth and climate-density correlations to identify the stand-specific responses to climatic conditions. Our results showed that alder growth declined after an extreme flooding in the rewetted stand, whereas the opposite occurred in the drained stand. These changes were accompanied by changes in wood traits related to growth (i.e., number of vessels), but not in wood density and hydraulic-related traits. We found poor climate-growth and climate-density correlations, indicating that water table fluctuations have a stronger effect than climate on alder growth. Our results show detrimental effects on the growth of sudden water table changes leading to permanent waterlogging, but little implications for its wood density and hydraulic architecture. Rewetting actions should thus account for the loss of carbon allocation into wood and ensure suitable conditions for alder growth in temperate peatland forests.
Abstract
Aims
Pinus uncinata is the major treeline‐forming species in the Pyrenees. Yet, the role of its reproduction and dispersal as drivers of treeline dynamics remains unknown. Here we quantify seed production, dispersal and germination changes along the elevation gradient to assess whether they may constrain the foreseen treeline advance in the Pyrenees.
Location
Central Pyrenees, Catalonia, NE Spain.
Methods
We established four plots along an elevation gradient from the closed subalpine forest to the krummholz zone at five study sites. In each plot, we collected cones from five to six trees, measured their length, and triggered their opening in the laboratory to count the number of empty seeds and the number and weight of full seeds. We used the collected seeds in a germination experiment under controlled conditions in growth chambers. Additionally, we installed seed traps along the forest–alpine grassland transition to measure seed rain for three consecutive years in three of the study sites.
Results
The number of full seeds per cone decreased along the elevation gradient and was correlated with cone length. However, the proportion of full seeds per cone and their weight did not differ between elevation positions. Seed rain decreased drastically with elevation and no seeds arrived into the alpine grassland traps consistently across study years. Although germination success did not significantly differ between elevation provenances (i.e., elevation position of origin), we found significant differences in germination dynamics between study sites and between elevation provenances within sites.
Conclusions
Our results indicate that whereas the viability of Pinus uncinata seeds is not limited by elevation, seed production and dispersal are constraining the ongoing rates of treeline advance in the Pyrenees.
Species of the genus Wolffia are traditionally used as human food in some of the Asian countries. Therefore, all 11 species of this genus, identified by molecular barcoding, were investigated for ingredients relevant to human nutrition. The total protein content varied between 20 and 30% of the freeze-dry weight, the starch content between 10 and 20%, the fat content between 1 and 5%, and the fiber content was ~25%. The essential amino acid content was higher or close to the requirements of preschool-aged children according to standards of the World Health Organization. The fat content was low, but the fraction of polyunsaturated fatty acids was above 60% of total fat and the content of n-3 polyunsaturated fatty acids was higher than that of n-6 polyunsaturated fatty acids in most species. The content of macro- and microelements (minerals) not only depended on the cultivation conditions but also on the genetic background of the species. This holds true also for the content of tocopherols, several carotenoids and phytosterols in different species and even intraspecific, clonal differences were detected in Wolffia globosa and Wolffia arrhiza. Thus, the selection of suitable clones for further applications is important. Due to the very fast growth and the highest yield in most of the nutrients, Wolffia microscopica has a high potential for practical applications in human nutrition.
Logging and sawing of timber using conventional tools by unskilled workers causes enormous damage to the valuable timber, residual stand, regeneration, and forest soil in Nepal. The purpose of this study was to find out the volume reduction factor and identify major strategies to reduce timber losses in the tree harvesting process in the Terai Shorea robusta forest of Nepal. Field measurements and product flow analysis of 51 felled trees from felling coupes and randomly selected 167 sawed logs were examined to study harvesting losses. Responses from 116 forest experts were analyzed to explore strategies for reducing harvesting and processing losses. The results showed that timber losses in the felling and bucking stage with and without stem rot were 23% and 22%, respectively. Similarly, timber losses in the sawing stage with and without stem rot were 31% and 30%, respectively. Paired t-test at 5% level of significance revealed that there was significant loss in both tree felling and log sawing stages with present harvesting practice. The most leading factor contributing to timber loss in all of the three stages was the use of inappropriate equipment during tree harvesting. Use of synthetic ropes for directional felling and skidding as well as flexible and portable sawing machine with size adjustment options during sawing were mainly recommended as strategies to reduce timber losses. This study serves as a baseline study to identify and quantify timber losses in different stages of tree conversion and also formulate their reduction strategies in Nepal.
Der rundblättrige Sonnentau (Drosera rotundifolia L.) ist typisch für nährstoffarme Hochmoore und nimmt eine besondere Rolle im Moor-Ökosystem ein. Die Pflanzenart gilt in vielen europäischen Ländern als gefährdet bzw. stark gefährdet. Ihre Gefährdung lässt sich auf drei Ursachen zurückführen:
1) Seit Jahrzehnten führt die Bewirtschaftung der europäischen Moore und die damit einhergehende Entwässerung und Düngung zu einem deutlichen Rückgang der von Drosera-Arten bevorzugten oligotrophen, nassen und sauren Standorte.
2) Bereits im Mittelalter waren Drosera-Arten als Heilpflanzen bekannt und wurden hauptsächlich zur Behandlung von Atemwegserkrankungen (Asthma, Bronchitis, Keuchhusten etc.) eingesetzt.
3) Obwohl seit den 1920er Jahren bereits immer wieder Kultivierungsversuche mit Drosera-Arten durchgeführt wurden, konnte bisher keine Methode für den großflächigen Anbau von Sonnentau realisiert werden, um die von der Pharmaindustrie benötigten Mengen des Drosera-Rohstoffs zu produzieren. Daher werden bis heute europäische und nicht europäische Drosera-Arten immer noch in großen Mengen in natürlichen Mooren gesammelt.
Die zunehmende Zerstörung der natürlichen Moore und die Sammlung für arzneiliche Zwecke stellen zusammen eine ernsthafte Bedrohung für den Erhalt von D. rotundifolia dar. Die Torfmooskultivierungsflächen in Deutschland sind in vieler Hinsicht vergleichbar mit intakten Hochmooren. Das nährstoffarme Milieu der kultivierten Torfmoose dient als Lebensraum für heimische Drosera-Arten, wie Drosera rotundifolia L. und Drosera intermedia Hayne. Daher bieten diese Kulturflächen eine neue Alternative für den Anbau von Drosera-Arten.
In vier Studien wurde die Eignung von Torfmoosrasen für den Drosera-Anbau untersucht, mit Schwerpunkt auf den Anbau von Drosera rotundifolia auf Torfmoos- kultivierungsflächen. In der ersten Studie wurde das Wissen über die Morphologie, Verbreitung, Ökologie, Reproduktion, Nutzung, den Schutz und den Anbau von D. rotundifolia erstmals zusammenfassend diskutiert, um eine wissenschaftliche Grundlage für einen erfolgreichen Anbau auf Torfmoosrasen zu schaffen. Basierend auf diesen Kenntnissen konzentriert sich die zweite Studie auf die Keimfähigkeit von D. rotundifolia und die Überlebensrate von jungen Drosera-Pflanzen auf Torfmoosrasen unter natürlichen, naturnahen und künstlichen Bedingungen. Die dritte Studie fokussiert auf den Gehalt pharmakologisch wirksamer Inhaltsstoffe angebauter und „wild wachsender“ D. rotundifolia- sowie D. intermedia-Pflanzen auf Torfmooskultivierungsflächen. Die vierte Studie untersucht die Biomasseproduktivität und den Ertrag, d. h. den Biomasseanteil der geerntet wird, von beiden o. g. Drosera-Arten auf Torfmooskultivierungsflächen.
Die generierten Daten und Erkenntnisse der vier Studien wurden in vier wissenschaftlichen Artikeln zusammengefasst, wovon zwei bereits veröffentlicht und zwei eingereicht sind.
Die wichtigsten Ergebnisse dieser Studien sind die Folgenden:
I) Drosera rotundifolia ist sehr stark mit Sphagnum-dominierten Pflanzengemeinschaften verbunden, welche durch Entwässerung europaweit zurückgegangen bzw. verschwunden sind. Dadurch ist D. rotundifolia in den meisten europäischen Ländern eine seltene und geschützte Pflanzenart geworden.
II) Verschiedene Drosera-Arten, u. a. D. rotundifolia, D. intermedia, D. anglica und D. madagascariensis, werden immer noch von Pharmaunternehmen verwendet. Die Pflanzen werden in der freien Natur gesammelt, weil deren Anbau zeitaufwendig und (noch) nicht effizient ist. Daher ist die Entwicklung von Anbaumethoden erforderlich.
III) Die selbstentwickelte „Torf-Gefäß-Methode“ ergab sich als die meist geeignete Drosera-Anbau-Methode durch das spezielle Mikroklima des Sphagnum- Rasens, das konkurrenzarme Milieu und den permanent nassen Sphagnum- Torf in den Pflanzgefäßen.
IV) In den Feldversuchen wurden bei der Aussaat sehr niedrige Keimungsraten < 1 % registriert. Deshalb sind für den Anbau mit Aussaat große Mengen an Samen erforderlich.
V) Die Entfernung von Gefäßpflanzen zeigte im ersten Jahr eine positive Korrelation mit der Anzahl der Drosera-Keimlinge und führte im zweiten Jahr zu einer höheren Anzahl überlebender Drosera-Pflanzen.
VI) Auf Torfmooskultivierungsflächen wachsende Drosera-rotundifolia-Pflanzen wiesen eine 7- bis 8-mal höhere Konzentration von 7-Methyljuglon auf als D. madagascariensis, die hauptsächlich für ‘Droserae herba’ verwendet wird.
VII) Für Drosera rotundifolia gab es bezüglich der Tageszeit keine signifikanten Unterschiede in den Konzentrationen bioaktiver Inhaltsstoffe. Dies bedeutet, sie kann ganztägig zwischen 7 und 16 Uhr gesammelt werden. Die höchsten Konzentrationen bioaktiver Inhaltsstoffe wurden für D. rotundifolia und D. intermedia bei 13 bis 24 Monate alten blühenden Pflanzen festgestellt
VIII) Im Vergleich zu natürlichen Mooren Mittel- und Nordeuropas, zeigte D. rotundifolia auf den Torfmooskultivierungsflächen eine 3-34 Mal höhere Biomasseproduktivität (275 kg ha-1 a-1) und einen 2-21 Mal höheren Ertrag (214 kg ha-1 a-1).
IX) Der höchste Ertrag von D. rotundifolia und D. intermedia wurde im Juli und August dokumentiert. In diesen Monaten erreichen die Pflanzen ihr höchstes Gewicht. Auf Torfmooskultivierungsflächen erreichte D. rotundifolia einen viermal höheren Ertrag als D. intermedia. Deshalb ist D. rotundifolia für den Anbau zu bevorzugen.
X) Für eine langfristige nachhaltige Produktion von Drosera wird die Ernte von mindestens 12 Monate alten Pflanzen empfohlen.
Vegetation dynamics and carbon sequestration of Holocene alder (Alnus glutinosa) carrs of NE Germany
(2010)
Erlenwälder auf Moorstandorten werden oft als Zeichen von Moordegradation und Torfoxidation gewertet, aber erlenholzreiche Moorablagerungen (teilweise mehrere Meter tief) sind unter anderem in Nordostdeutschland weit verbreitet. Die Genese von Erlen-Holztorfen wurde bisher überwiegend durch das Konzept der „Verdrängungstorfbildung“ erklärt. Hierbei wird ein von gehölzfreier Vegetation akkumulierter Torf nach einer Grundwasserabsenkung durch nachträglich einwachsende Baumwurzeln verändert. Dieses Prinzip ist aber auf tiefgründige Erlen-Holztorfe nicht übertragbar, da Alnus glutinosa auf naturnahen Moorstandorten meist nur wenige Dezimeter tief wurzelt. Anliegen der vorliegenden Dissertation mit dem Titel „Vegetation dynamics and carbon sequestration of Holocene alder (Alnus glutinosa) carrs in NE Germany“ war die Identifizierung torfbildender Erlenwälder. Die torfbildende Vegetation, die Wasserstände während der Torfbildung und die Vegetationsdynamik dieser bewaldeten Niedermoore wurden durch Analysen von Makrofossilien, Pollen und sonstigen Mikrofossilien (u.a. Pilz-, Pflanzen-, und tierische Reste) rekonstruiert. Hierbei wurden in enger Kooperation mit dem Promotionsvorhaben von Frau Anja Prager (Non-pollen palynomorphs [NPPs] from modern alder carrs [NE Germany] - Tools for reconstructing past vegetation and site conditions) ca. 150 bisher unbekannte Mikrofossilien beschrieben und teilweise identifiziert. Die Datenauswertung wurde anhand von Fossilien-Diagrammen und statistischen Methoden (DCA, Clusteranalysis; Broken Stick Analysis) durchgeführt. Zur Altersbestimmung erfolgten 14C-AMS-Datierungen und der Kohlenstoffgehalt wurde über die Bestimmung der Trockenrohdichte ermittelt, wobei ein durchschnittlicher Kohlenstoffanteil von 56% angenommen wurde. Die untersuchten Erlen-Holztorfe wurden überwiegend direkt in Erlenwäldern abgelagert („Echter Bruchwaldtorf“); sind aber auch teilweise als Verdrängungstorfe aus vorherigen Seggentorfen entstanden oder in von Weiden dominierten Gehölzen gebildet worden. Die jährlichen Medianwasserstände der torfbildenden Erlenwälder lagen einerseits über Flur („sehr nass“-„very wet“) und zum anderen 0 bis 10 cm unter Flur („nass“ - „wet“). Die Vegetationszusammensetzung der sehr nassen Erlenwälder ähnelte teilweise dem Wasserfeder-Erlen-Wald und in einem Fall dem Zweizahn-Erlen-Bruchgehölz. Die nassen Erlenwälder konnten nicht auf der Ebene von Vegetationsformen rekonstruiert werden; charakteristisch war das häufige Auftreten von Urtica und eine Carex-dominierte Krautschicht. Über einen Vergleich der Mikrofossilien der Erlenholz-Tofe mit Mikrofossilien von Oberflächenproben aus rezenten Erlenwäldern konnten die Medianwasserstände nasser, torf-akkumulierender Erlenwälder auf 0-10 cm unter Flur festgelegt werden. Alle untersuchten Profile zeigten eine zyklische Bewaldung mit Zwischenphasen von Offenvegetation (meist Seggenriede). Als Bindeglieder zwischen Erlenwald und Seggenried traten teilweise Weidengebüsche auf, welche sich mitunter auch langfristiger etablieren konnten. Die zyklische Vegetationsentwicklung von Seggenrieden, Weidengebüschen und Erlenwäldern basierte fast ausschließlich auf einem schwankenden Wasserangebot im Moor. Dieses war fast immer die Folge von zyklischen Ent- und Wiederbewaldungen der umliegenden, grundwasserfernen Standorte durch den Menschen. Die „Echten Bruchwaldtorfe“ sind unter verschiedenen hydrologischen Bedingungen entstanden (Verlandungs-, Versumpfungs-, Überrieselungs- und Überflutungsmoor). Die Kohlenstoff-Akkumulationsraten („LORCA“-long-term apparent rate of carbon accumulation) liegen zwischen 31-44 g C m-2 yr-1 in sehr nassen und 50-81 g C m-2 yr-1 in nassen Erlenwäldern. Die höheren Akkumulationsraten in nassen Erlenwäldern können durch die deutlich steigende Produktivität von Erlen-Wäldern schon bei leicht sinkenden mittleren Wasserständen erklärt werden. Eine Verringerung der durchschnittlichen Wasserstände von über Flur zu leicht unter Flur führt annähernd zu einer Verdopplung der Primärproduktion von oberirdischem Holz und Wurzelholz. Dadurch gelangt auch ein größerer Anteil von Wurzelholz in den dauerhaft wassergesättigten Bereich. Da mit sinkenden Wasserständen auch die oxidative Zersetzung zunimmt, ist für die teilweise sehr hohen Torfakkumulationsraten in Erlenwäldern die Zersetzungsresistenz von Holz (Lignin) von zentraler Bedeutung. Die Akkumulationsraten nasser Erlenwälder übersteigen die borealer Waldmoore deutlich und erreichen die Größenordnung der Kohlenstoffakkumulation in den tropischen Waldmooren Süddostasiens. Die vorliegende Dissertation belegt die weitverbreitete und oft umfangreiche Torf- bzw. Kohlenstoffakkumulation in Holozänen Erlen-Wäldern Nordostdeutschlands.
Late to bed, late to rise—Warmer autumn temperatures delay spring phenology by delaying dormancy
(2021)
Abstract
Spring phenology of temperate forest trees has advanced substantially over the last decades due to climate warming, but this advancement is slowing down despite continuous temperature rise. The decline in spring advancement is often attributed to winter warming, which could reduce chilling and thus delay dormancy release. However, mechanistic evidence of a phenological response to warmer winter temperatures is missing. We aimed to understand the contrasting effects of warming on plants leaf phenology and to disentangle temperature effects during different seasons. With a series of monthly experimental warming by ca. 2.4°C from late summer until spring, we quantified phenological responses of forest tree to warming for each month separately, using seedlings of four common European tree species. To reveal the underlying mechanism, we tracked the development of dormancy depth under ambient conditions as well as directly after each experimental warming. In addition, we quantified the temperature response of leaf senescence. As expected, warmer spring temperatures led to earlier leaf‐out. The advancing effect of warming started already in January and increased towards the time of flushing, reaching 2.5 days/°C. Most interestingly, however, warming in October had the opposite effect and delayed spring phenology by 2.4 days/°C on average; despite six months between the warming and the flushing. The switch between the delaying and advancing effect occurred already in December. We conclude that not warmer winters but rather the shortening of winter, i.e., warming in autumn, is a major reason for the decline in spring phenology.
Duckweeds include the world's smallest and fastest growing flowering plants that have the capacity to produce huge biomass with a broad range of potential applications like production of feed and food, biofuel and biogas. In order to achieve optimal and sustainable commercial system, it is necessary that suitable species and clones of duckweeds be identified and selected based on appropriate strategies. However, a high degree of reduction in their structural complexity poses serious problems in identification of closely related species of duckweeds, on a morphological basis. Use of molecular taxonomic tools is the present solution. The state of the art of molecular taxonomy of all the five genera of duckweeds (Spirodela, Landoltia, Lemna, Wolffiella, and Wolffia) is based mainly on the techniques of fingerprinting by amplified fragment length polymorphism (AFLP) and barcoding using sequences of plastidic DNA fragments. After more than 15 years of molecular taxonomic investigations, a certain viewpoint is now available demonstrating all five genera to be monophyletic. Also, the phenetic analyses had made huge progress in delineating the currently defined 36 species of duckweeds, although, all species cannot yet be defined with confidence. Wolffiella has turned out to be the most complicated genus as only 6 to 7 species out of the 10 can be reliably delineated. Further progress in the phylogenetic and phenetic analyses requires more advanced methods like next generation and/or whole genome sequencing. First results using the method genotyping-by-sequencing in the genus Lemna (in combination with metabolomic profiling by matrix-assisted laser desorption ionization time-of-flight mass-spectrometry (MALDI-TOF-MS) as well as AFLP and barcoding by plastidic sequences) are more promising: The species Lemna valdiviana and Lemna yungensis were united to one species, Lemna valdiviana. This reduced the total number of Lemnaceae species to 36.
Samples of two duckweed species, Spirodela polyrhiza and Lemna minor, were collected around small ponds and investigated concerning the question of whether natural populations of duckweeds constitute a single clone, or whether clonal diversity exists. Amplified fragment length polymorphism was used as a molecular method to distinguish clones of the same species. Possible intraspecific diversity was evaluated by average-linkage clustering. The main criterion to distinguish one clone from another was the 95% significance level of the Jaccard dissimilarity index for replicated samples. Within natural populations of L. minor, significant intraspecific genetic differences were detected. In each of the three small ponds harbouring populations of L. minor, based on twelve samples, between four and nine distinct clones were detected. Natural populations of L. minor consist of a mixture of several clones representing intraspecific biodiversity in an aquatic ecosystem. Moreover, identical distinct clones were discovered in more than one pond, located at a distance of 1 km and 2.4 km from each other. Evidently, fronds of L. minor were transported between these different ponds. The genetic differences for S. polyrhiza, however, were below the error-threshold of the method within a pond to detect distinct clones, but were pronounced between samples of two different ponds.
Myxomycetes are protists belonging to the super-group Amoebozoa. The traditional taxonomic system, which is now largely outdated by molecular studies, recognizes five orders: Liceales, Trichiales, Physarales, Stemonitales and Echinosteliales. Molecular phylogenies revealed two basal clades: Physarales and Stemonitales (the so-called dark-spored myxomycetes) are the first; the other above-mentioned orders form the second (the bright-spored myxomycetes). However, except for Echinosteliales none of the traditional orders appears to be monophyletic in the traditionally used delimitation. The dark-spored myxomycetes encompass the majority of the described morphospecies. Due to the high genetic divergence in DNA sequences between the bright- and dark-spored myxomycetes, only the latter are considered in this dissertation. Historically myxomycetes have been described as fungi, due to their macroscopically visible fructifications which, though considerably smaller, resemble those of fungi. These fruit bodies provide enough morphological traits to support a morphological species concept with currently ca. 1000 species described. Therefore diversity studies of myxomycetes have been conducted for over 200 years and a substantial body of data on ecology and distribution of these fructifications exist. From these studies myxomycetes are known to form often distinct communities across terrestrial ecosystems with highly specific habitat requirements, such as snowbanks (nivicolous), herbivore dung (coprophilous) or decaying wood (xylophilous). However knowledge on the myxamoebae – the trophic life stage of the myxomycetes – is very scarce. Only recent advances in molecular techniques such as direct species identification based on DNA sequences from environmental samples (ePCR), have made studies of myxamoebae (and other microbes) possible. From these first molecular based studies myxomycetes are currently estimated to account for between 5 to almost 50% of all soil amoebae, and have been shown to be present in a wide variety of soils. To fully take advantage of these new methods, a molecular DNA marker needs to be established as well as a reference sequence database. The usability of a DNA marker gene depends on its ability to separate species by a distinction between intra- and interspecific divergence between sequences of the same and related species, the so-called ‘barcoding gap’.
The first part of this thesis (article I and II) deals with the subject of establishing such a DNA marker and database, and in doing so touches upon the subject of ‘what is a myxomycetes species?’
A total of 1 200 specimens were compiled into a reference database (the largest database to date of dark-spored myxomycetes). The genetic distance from sequence-to-sequence was used to assess genetic clade structures within morphospecies and putative biospecies (sexually isolated linages) were identified. The result was an estimate of hidden diversity, exceeding that of described morphospecies by 99%. The optimum sequence similarity threshold for OTU-picking (genetic species differentiation, denoted Operational Taxonomic Unit) with the used SSU marker was identified as 99.1% similarity.
The second part of this thesis (article III and IV) presents ecological studies conducted with NGS (ePCR) in which the established threshold and database are applied and are demonstrated to provide reliable and novel insights into the soil myxamoebae community. It is investigated whether the occurrence of fruit bodies reflects the distribution of soil myxamoebae, and the research questions ‘do myxomycetes show broader realized niches as soil amoebae than as fructifications?’ and ‘are myxamoebae distributions correlated to potential prey organisms (fungi and bacteria)?’ are investigated.
In the ecological study presented in article III parallel metabarcoding of bacteria, fungi and dark-spored myxomycete was used for the first time in a joint approach to analyze the communities from an elevational transect in the northern limestone German Alps (48 soil samples). Illumina sequencing of the soil samples revealed 1.68 Mio sequences of a section of the rRNA gene, which were assigned to 578 operational taxonomic units (OTU) from myxomycetes. These show a high similarity (>98%) to 42 different morphospecies (the respective figures for bacteria and fungi were 2.16/5710/215 and 3.68/6133/260, respectively). Multivariate analyses were carried out to disentangle microbial interplay and to identify the main environmental parameters determining the distribution of myxamoebae and thus setting the boundaries for their ecological niches. Potential interactions between the three target organisms were analysed by integrating community composition and phylogenetic diversity with environmental parameters. We identified niche differentiation for all three communities (bacteria, fungi and myxamoebae) which was strongly driven by the vegetation. Bacteria and fungi displayed similar community responses, driven by symbiont species and plant substrate quality. Myxamoebae showed a more patchy distribution, though still clearly stratified among genera, which seemed to be a response to both structural properties of the habitat and specific bacterial taxa. In addition we find an altitudinal species turn-over for all three communities, most likely explained by adaptation to harsh environmental conditions. Finally a high number of myxomycetes OTUs (associated with the genus Lamproderma) not currently represented in our reference database were found, representing potentially novel species. This study is the first to report niche differentiation between the guild of nivicolous (“snowbank”) myxomycetes and thus fine-scale niche differentiation among a predatory soil protist; identifying both potential food preferences and antagonistic interactions with specific bacterial taxa.
Finally, the second ecological study (article IV) focuses on comparing the distribution of myxamoebae revealed by ePCR of soil samples with fructifications collected from the same area (714 specimens determined to 30 morphospecies, which form 70 unique ribotypes that can be assigned to 45 ribotype clusters using a 99.1% similarity threshold). The study found a strong coherency between the two inventories, though with species specific relative differences in abundance, which can in part be attributed to the visibility of the fructifications. In addition, a year to year comparison of fructification records gives support to the hypothesis that the abundance of fructifications depends strongly on the onset of snowfall in the previous autumn and the soil temperature regime throughout the winter.
Duckweeds (Lemnaceae) are the smallest and fastest-growing angiosperms. This feature, together with high starch production and good nutritional properties, makes them suitable for several applications, including wastewater treatment, bioenergy production, or feed and food supplement. Due to their reduced morphology and great similarity between diverse species, taxonomic identification of duckweeds is a challenging issue even for experts. Among molecular genotyping methods, DNA barcoding is the most useful tool for species identification without a need for cluster analysis. The combination of two plastid barcoding loci is now considered the gold standard for duckweed classification. However, not all species can be defined with confidence by these markers, and a fast identification method able to solve doubtful cases is missing. Here we show the potential of tubulin-based polymorphism (TBP), a molecular marker based on the intron length polymorphisms of β-tubulin loci, in the genomic profiling of the genera Spirodela, Landoltia, and Lemna. Ninety-four clones were analyzed, including at least two representatives of each species of the three genera, with a special focus on the very heterogeneous species Lemna minor. We showed that a single PCR amplification with universal primers, followed by agarose gel analysis, was able to provide distinctive fingerprinting profiles for 10 out of 15 species. Cluster analysis of capillary electrophoresis–TBP data provided good separation for the remaining species, although the relationship between L. minor and Lemna japonica was not fully resolved. However, an accurate comparison of TBP profiles provided evidence for the unexpected existence of intraspecific hybrids between Lemna turionifera and L. minor, as further confirmed by amplified fragment length polymorphism and sequence analysis of a specific β-tubulin locus. Such hybrids could possibly correspond to L. japonica, as originally suggested by E. Landolt. The discovery of interspecific hybrids opens a new perspective to understand the speciation mechanisms in the family of duckweeds.
Abstract
Individuals of the marine chelicerate lineage Pycnogonida (sea spiders) show considerable regenerative capabilities after appendage injury or loss. In their natural habitats, especially the long legs of sea spiders are commonly lost and regenerated, as is evidenced by the frequent encounter of specimens with missing or miniature legs. In contrast to this, the collection of individuals with abnormally developed appendages or trunk regions is comparably rare. Here, we studied a remarkable malformation in a postlarval instar of the species Phoxichilidium femoratum (Rathke, 1799) and describe the external morphology and internal organization of the specimen using a combination of fluorescent histochemistry and scanning electron microscopy. The individual completely lacks the last trunk segment with leg pair 4 and the normally penultimate trunk segment bears only a single aberrant appendage resembling an extension of the anteroposterior body axis. Externally, the proximal units of the articulated appendage are unpaired, but further distally a bifurcation into two equally developed leg‐like branches is found. Three‐dimensional reconstruction of the musculature reveals components of two regular leg muscle sets in several of the proximal articles. This confirms interpretation of the entire appendage as a malformed leg and reveals an externally hidden paired organization along its entire proximodistal axis. To explain the origin of this unique malformation, early pioneering studies on the regenerative potential of pycnogonids are evaluated and (a) an injury‐induced partial fusion of the developing limb buds of leg pair 3, as well as (b) irregular leg regeneration following near complete loss of trunk segments 3 and 4 are discussed. Which of the two hypotheses is more realistic remains to be tested by dedicated experimental approaches. These will have to rely on pycnogonid species with established laboratory husbandry in order to overcome the limitations of the few short‐term regeneration studies performed to date.
In terms of climate change and climate change mitigation, the quantitative knowledge of global carbon pools is important information. On the one hand, knowledge on the amount of carbon cycling among – and stored in – global pools (i.e. Atmosphere, Biosphere, Cryosphere, Hydrosphere, and Lithosphere) may improve the reliability of models predicting atmospheric CO2 concentrations in terms of fossil fuel combustion. On the other hand, the carbon sequestration potential of specific ecosystems allows for estimating their feasibility regarding carbon trade mechanisms such as the Clean Development Mechanism or the Reducing Emissions from Deforestation and Degradation Program (REDD+). However, up to date, the majority of terrestrial carbon assessments have focused on forests and peatlands, leaving a data gap open regarding the remaining ecosystems. This data gap is likely to be explained by the relatively high carbon densities and/or productivities of forests and peatlands. Nevertheless, to get a precise as possible global picture, information on carbon pools and sequestration of other ecosystems is needed. Although desert ecosystems generally express low carbon densities, they may absolutely store a remarkable amount of carbon due to their large areal extent. In this context, Central Asian Deserts (in particular within the Turanian Deserts, i.e. Karakum, Kysylkum, Muyunkum) likely inhibit comparably high carbon pools as they express a sparse vegetation cover due to an exceptionally high annual precipitation if compared to the World’s deserts. In this dissertation, three important woody plant species – Populus euphratica and Haloxylon aphyllum and Haloxylon persicum – of Central Asian Deserts were investigated for their carbon pools and carbon sequestration potential. These species were chosen as they I) locally express high carbon densities, II) are dominant species, III) have a rather large spatial distribution, and IV) have experienced a strong degradation throughout the 20th century. Thus, they likely show a remarkable potential for carbon re-sequestration through restoration and thus for an application of carbon trade mechanisms (CHAPTER I). P. euphratica was investigated in the nature reserve Kabakly at the Amu Darya, Turkmenistan and in Iminqak at the Tarim He, Xinjiang, China. The assessment of Haloxylon species was restricted to the Turanian deserts west of the Tain Shan. To achieve a first scientific basis for large scale estimates, different methodologies, ranging from allometric formulas, over dendrochronology to remote sensing were combined (CHAPTERS II-V). In CHAPTER II allometric formulas were successfully developed for Haloxylon aphyllum and Haloxylon persicum and applied to six study sites distributed over the Turanian Deserts to represent the allometric variability of Haloxylon species in Central Asia. CHAPTER III derives another allometric formula (only based on canopy area) for H. aphyllum and combines it with a remote sensing analysis from the nature reserve Repetek. Thereby, a first large scale estimate covering the Northeastern Karakum Desert of carbon pools related to mono specific H. aphyllum stands is achieved. CHAPTER IV describes the wood structure of Populus euphratica forests in the nature reserve Kabakly (Turkmenistan) and in Iminqak (Xinjiang, China). In CHAPTER V a dendrochronological approach derives models for predicting the Net Primary Productivity (NPP) and the age of P. euphratica in the nature reserve Kabakly. Thereby, a first feasibility assessment regarding remote sensing analyses and the upscaling of the obtained NPP results is carried out. First estimates based on these local studies (CHAPTER VI), reveal carbon densities ranging from 0.1 – 26.3 t C ha 1 for the three investigated species. Highest maximum and median carbon densities were found for P. euphratica, but Haloxylon aphyllum expressed remarkable maximum carbon densities (13.1 t C ha-1), too. The total carbon pools were estimated at 6480 kt C for P. euphratica, 520 kt C for H. aphyllum stands and 6900 kt C for Haloxylon persicum shrubland. Accounting for the extent of degraded areas, the total re-sequestration potentials of the respective species were estimated at 4320 kt C, 1620 kt C and 21900 kt C, this highlighting the remarkable absolute re-sequestration potential of H. persicum shrubland despite its low average carbon densities. In the end, the main results were put into a broader context (CHAPTER VI), discussing the general feasibility of reforestations both in ecological terms as well as in terms of carbon trade mechanisms. A short example highlights the strong connection between the feasibility of reforestations and the global carbon market. Finally, open research questions are brought forth revealing the yet large research potential of Central Asian Desert ecosystems in general and in terms of carbon sequestration.
Abstract
In the 21st century, most of the world’s glaciers are expected to retreat due to further global warming. The range of this predicted retreat varies widely as a result of uncertainties in climate and glacier models. To calibrate and validate glacier models, past records of glacier mass balance are necessary, which often only span several decades. Long-term reconstructions of glacier mass balance could increase the precision of glacier models by providing the required calibration data. Here we show the possibility of applying shrub growth increments as an on-site proxy for glacier summer mass balance, exemplified by Salix shrubs in Finse, Norway. We further discuss the challenges which this method needs to meet and address the high potential of shrub growth increments for reconstructing glacier summer mass balance in remote areas.
Facing climate change, the development of innovative agricultural technologies securing food production becomes increasingly important. Plasma-treated water (PTW) might be a promising tool to enhance drought stress tolerance in plants. Knowledge about the effects of PTW on the physiology of plants, especially on their antioxidative system on a long-term scale, is still scarce. In this work, PTW was applied to barley leaves (Hordeum vulgare cv. Kosmos) and various constituents of the plants’ antioxidative system were analyzed 30 days after treatment. An additional drought stress was performed after foliar PTW application followed by a recovery period to elucidate whether PTW treatment improved stress tolerance. Upon PTW treatment, the Total Antioxidant Capacity (TAC) in leaves and roots was lower in comparison to deionized water treated plants. In contrast, PTW treatment caused a higher content of chlorophyll, quantum yield and total ascorbate content in leaves compared to deionized water treated plants. After additional drought application and subsequent recovery period, an enhancement of values for TAC, contents of malondialdehyde, glutathione as well as activity of ascorbate peroxidase indicated a possible upregulation of antioxidative properties in roots. Hydrogen peroxide and nitric oxide might mediate abiotic stress tolerance and are considered as key components of PTW.
Sal (Shorea robusta) forests, a dominant forest type in Nepal, experience different disturbance intensities depending on management regimes. This study compares the impact of disturbance on Nepalese Sal forests, which are managed on three major management regimes: protected area, state-managed forest, and buffer zone community forest. Using a systematic sampling approach, we sampled 20 plots, each covering 500 square meters, and nested plots within each main plot to measure pole and regeneration for each management regime. We recorded forest characteristics including tree species, counts, diameter, height, crown cover, and disturbance indicators. We compared forest attributes such as diversity indices, species richness, and stand structure by management regime using analysis of variance and regression analysis. The forest management regimes were classified into three disturbance levels based on disturbance factor bundles, and the buffer zone community forest was found to have the highest disturbance while the protected forest had the lowest disturbance. Species richness, diversity, evenness, abundance, density and basal area were higher, but regeneration was lower in protected area and state-managed forest compared to the buffer zone community forests. This suggests positive impacts of moderate disturbance on regeneration. The management plan should prioritize the minimization of excessive disturbance to balance forest conservation and provide forest resources to local users.
Summary
Raised bogs are raised above the regional ground water level and only fed by rain. To be able to be ‘high yet wet’, they have developed intricate self-regulation mechanisms. The most important of these mechanisms in Sphagnum raised bogs is the acrotelm. This upper layer of peat and vegetation shows a distinct gradient from large pores at the top to small ones at the bottom. When the water table drops, water can only flow through small pores and run-off is effectively reduced. Still, the acrotelm has high storativity, which restricts water table fluctuations to this layer. The acrotelm presents a compromise between small pore space to minimise run-off and large pore space to maximise storativity.
These two ‘tasks’ of the acrotelm can also be split in horizontal space. The dry hummocks on the surface of a raised bog have much lower transmissivity and storativity than the wet hollows. These two surface elements can be organised in strikingly regular patterns of elongated strings of hummocks and so-called flarks of hollows arranged perpendicular to the slope. The origin of regular string-flark patterns was studied in chapter 2.
In a simple, heuristic, spatially explicit simulation model, each cell in a square grid is randomly declared either a hummock or a hollow. The grid is on a slope and water is allowed to flow from each cell to its four neighbouring cells until water tables stabilise. Then, every cells changes state based on its water table: if the water table is low, the cell will more likely be a hummock, if it is high a hollow. If the parameter settings are right, this procedure will result in regular striping patters. Chapter 2 was the first study to search the parameter space for settings that result in patterning. Systematic analysis showed that the parameter space in which patterns develop is sharply delineated, indicating positive feedback mechanisms. Once a pattern develops, water tables in the model diverge: the flarks become wetter and the strings become drier. The hummock and hollow cells have combined into higher order units, the strings and flarks, that emerge as more effective in regulating water flow.
Applying the same model for the first time to the dome shape of a raised bog (capther 3), pattern formation appeared to occur on three organisational levels. On the lowest nanotope level, we find strings and flarks, again combined in a string-flark complex, but this complex occurs alongside an all hummock rand and a wet, featureless central plateau. These three mire sites constitute the second, microtope level. On the third, mesotope level we can distinguish different types of bog domes that are defined by different combinations of mire sites. Classical literature on peatland classification used the same approach to classify bog domes, but also other and larger peatland areas. Our modelling shows that the mire sites actually exist as functional units in a self-organising bog and that they are not mere human classification constructs.
To test our ideas on self-regulation and -organisation as well as the modelling results, we studied a patterned raised bog in Tierra del Fuego in terms of its plant cover, its water and its peat (chapter 4). The studied bog is almost completely covered by Sphagnum magellanicum. In northern peatlands the different niches from high and dry hummock to low and wet hollow are filled by different species of Sphagnum, each with their specific growth form. In the studied bog, all niches from dry to wet are occupied by Spagnum magellanicum, showing a wide range in growth form. Yet, we found it has only limited genetic diversity that is not linked to these niches and growth forms.
Detailed measurements were made along a 498 m long transect crossing the bog, including water table measurements (every metre), vegetation relevés (2 × 2 m), hydraulic conductivity just below the water table (n = 246) and hydraulic conductivity in 11 depth profiles to a depth of 2 m (n = 291); the degree of humification of the corresponding peat was assessed in conjunction with the hydraulic conductivity measurements (n = 537). Sphagnum magellanicum moss samples were collected every 2 m along this transect and genotyped (n = 242). In addition, along short, 26 m long transects crossing strings and flarks water table and hydraulic conductivity just below the water table were measured every metre. Sphagnum growth forms were assessed and the vegetation of the entire bog was mapped in 10 × 10 m relevés (n = 3322). The simulation model was applied to a generalised form of the bog.
There was an almost perfect match between plant cover and water tables. As expected, hydraulic conductivity just below the water table was about 7 times lower in the dry than in the wet measurement spots. These observations are valid on the low level of the nanotope: hummocks and hollows or dry and wet spots in general. Other observations only made sense on higher organisational levels like the microtope. For example, the hydraulic conductivity profiles of the string-flark complex show a gentler gradient than those of the plateau and the rand. The peat in the string-flark complex originates on this level of organisation and combines characteristic of both its dry and wet constituents. On the mesotope level, the simulation model produced a good match with the patterns on the actual dome. We analysed the abundant data on different organisational levels ranging from small single plants to the large mire system of fens and domes of which the studied dome is part. We looked for commonalities and discrepancies to help us better understand how the close link between plants, water and peat functions in reality.
The results of all measurements were integrated with information from literature and discussed in the framework of a self-regulating and -organising raised bog. The field measurements considerably sharpened existing theoretical considerations. We identified nineteen hydrological feedback mechanisms. We found that the various mechanisms overlap both in space and time, which means there is redundancy in the self-regulation capacity of the system. Raised bogs, when in a natural state, are among the most resilient ecosystems known; resilience that is provided by feedbacks and back-up systems to these feedbacks.
We used our ideas and insights on self-regulation in Sphagnum raised bogs to look for similar patterns and responses in tropical domed peat swamps (chapter 5). We know that in Sphagnum raised bogs the tasks of the acrotelm can be split in horizontal space. When we looked at undisturbed tropical peat swamps with this new search image, we recognised how hummocks of root material and litter and particularly buttress roots regulate run-off and storage of water. We could identify several additional hydrological feedback loops that mirror the mechanisms found in Sphagnum raised bogs.
This thesis considerably advances our understanding of raised bogs as self-organising systems. The patterns and processes they display on multiple levels can be seen as a form of ecosystem diversity that exists independent of species and genetic diversity.
We studied a pristine, prominently patterned raised bog in Tierra del Fuego, Argentina, to disentangle the complex interactions among plants and water and peat. The studied bog lacks complicating features often posed by other bogs. It is completely dominated by Sphagnum magellanicum, which covers all niches and growth forms, and is joined by only a dozen higher plant species; it is entirely ombrotrophic with very sharp borders to the surrounding fen; it has only one type of peat that shows an only limited range in degree of decomposition; and it is situated in a very even climate with minimal differences in rainfall and temperature over the year. We present detailed measurements along a 498-m-long transect crossing the bog, including water table measurements (n = 498), contiguous vegetation relevés (n = 248), hydraulic conductivity just below the water table (n = 246), and hydraulic conductivity in 11 depth profiles (n = 291); degree of humification of the corresponding peat was assessed in conjunction with the hydraulic conductivity measurements (n = 537). Sphagnum magellanicum moss samples were collected every 2 m along this transect as well and genotyped (n = 242). In addition, along short, 26-m-long transects crossing strings and flarks water table and hydraulic conductivity just below the water table were measured every meter. Sphagnum growth forms were assessed, and the vegetation of the entire bog was mapped in 10 × 10-m relevés (n = 3322). A simulation model was applied to a generalized shape of the bog and produced surface patterns that well matched those seen in the field. The results were integrated with information from the literature and discussed in the framework of a self-regulating and self-organizing raised bog. We identified 19 hydrological feedback mechanisms. We found that the various mechanisms overlap in both space and time, which means there is redundancy in the self-regulation of the system. Raised bogs, when in a natural state, are among the most resilient ecosystems known; resilience that is provided by feedbacks and backup systems to these feedbacks.
Forests are key biomes linked to biogeochemical cycles, important species reservoirs and major ecosystem services providers. The observed global climate change in the 20th century has the potential to deeply affect the conservation, functioning and structure of these ecosystems. Expressed as rising average temperatures due to the increase in atmospheric concentration of greenhouse gases such as carbon dioxide, nitrate oxide and methane, pollutants which are mostly product of burning fuel for industrial activities. These long-term changes will be heterogeneous in time and space throughout the globe. For northeastern Germany, predictions indicate that summer temperature and winter precipitation will be at a constant rise, whereas summer precipitation is expected to decrease, conditions will increase the risk of drought conditions. The changes in long-term means will be accompanied by increased frequency of weather extremes. The overall effect of climate change, both its long- and short-term components and their interaction with forest growth is uncertain. Tree
species in the temperate forest are highly adapted to seasonal growth, active in late-spring and summer when temperature thresholds activate primary and secondary growth as well as leaf development, given sufficient water availability. During winter, they become dormant as an strategy to decrease damage by freezing temperatures. These adaptations ultimately determine species distributions as they occur along climate gradients within their ecological
optima. Thus climate change can have a significant effect on species distribution ranges and more locally it can change species abundances. Trees being sessile organisms, possess limited dispersal capacities and rely on their adaptation potential, both genetically through selection over generations and through phenotypic plasticity (e.g. the capacity of adapting to changing conditions within a lifetime).
Tree growth can be explored by dendrochronological methods, that is, by analyzing traits of annual xylem bands as produced by the vascular cambium. These traits are width, wood anatomical properties (e.g. cell wall thickness, lumen diameter), and isotopic composition.
Tree-rings are integrators of environmental conditions and indicators of vitality and productivity of trees and forests. Studying these traits allows to understand the effect of climate on growth and physiological function over decadal to centennial scales in the past and by it inform about future growth performance. However, environmental information is not trivially extracted from tree-rings. Environmental signals in tree-rings are often the result of
complex interactions of lagged meteorological conditions and tree-scale characteristics such as size, canopy status (i.e. social status), competition and stand density, among other factors. For this reason the monitoring of secondary growth as it unfolds, for example through dendrometer monitoring (i.e. record of the stem-radial variations at intra-annual temporal scales) and repeated sampling for the study of xylogenesis, is of major importance to understand climate-growth relationships and bridge the gap between dendroecological analysis atdifferent ecological scales (from single trees to stands to populations). Therefore this thesis contains contributions a) to the understanding of long-term climate shifts and its effect on tree growth for species in the Central European temperate forests through dendrochronological assessments and contributions b) to understanding intra-annual growth dynamics and
its relationship to meteorological conditions through the analysis of monitoring records. In the retrospective analysis chapters (I-III), first an assessment was performed of the climate-growth relationships of important species of these region which indicated that deciduous species’ growth (Fagus sylvatica, Quercus robur and Q. petreae) was influenced mostly by summer water availability. For Pinus sylvestris was late spring temperature. Negative correlations between winter temperatures and growth indices of deciduous species increased over the last decades, possibly linked to less snow cover of the soil leading to root damage causing growth reductions. Scots pine presented the opposite, as positive correlations with winter temperatures became more frequent, indicating that this species’ growth rates might
benefit from an elongation of the vegetation period. Afterwards the effect of stand characteristics in the climate response was explored. The climate signal of solitary oak trees growing in northeastern Germany was compared to oaks in closed stands. Solitary trees
expressed higher growth rates and drought signals, which endanger its conservation as dry conditions are expected to increase in the region. As in the temperate forest crowding effects are variable throughout a tree’s lifetime, as well as other limiting factors (e.g. climate), we subsequently developed a methodology based on analysis of individual tree-ring series rather than chronologies (site means) to disentangle these effects on heterogeneous samples and quantify them. By sampling all present crown classes in a site near Rostock (Germany), we found beech was mostly affected by water availability in the previous summer
and this effect was well represented throughout the population. For oak the main climatic driver of growth was previous October temperature with a low representation throughout the obtained sample. For beech, the main trait governing the variability around the response to the main climate driver of growth was cambial age, and for oak was crown-projection/size. On the prospective analysis chapters (IV-VI), monitoring datasets from the years 2013-2019 were used for the analysis of meteorological forcing of dendrometer series, the effect of a multi-year drought event and for the development of a method to combine continuous dendrometer records with discrete histological observations from xylogenesis analysis. The analysis of meteorological forcing on stem-radial variations indicated all observed species (beech, oak, hornbeam in this case) respond similarly to atmospheric water content whereas
the growth phenology displayed contrasting species differences. These findings indicate high-frequency variations in stem dynamics are similar between species as it reflects transpiration and water transport in the stem, whereas the timing of growth reflects life strategies and
wood anatomical adaptations. Next we evaluated the effect of the consecutive drought years 2018-2019 using dendrometer data (beech, oak, hornbeam and sycamore maple). The increment levels after the onset of drought in 2018 were not reduced for the observed individuals, whereas in 2019 all species showed decreased growth levels, particularly beech. Most likely the water moisture reservoirs were adequately filled in winter and spring before summer 2018, which lead to increased buffer capacity to withstand the harsh conditions for radial growth. However in winter, and the spring before the summer of 2019, there was not sufficient precipitation which lead to less resistance to the second bought of the drought event.
This illustrates the complex lagged meteorological effect on radial growth, which is easily obscured in retrospective dendroecological analysis and emphasizes the pivotal role of soil moisture and soil water storage in tree-growth analysis. As a final contribution, while recognizing the importance of prospective growth monitoring, we developed a software tool to visualize and combine dendrometer stem-radial variations with images of histological events, such as those obtained by microcores for xylogenesis analysis. Growth signals in dendrometers are often of smaller magnitude than variations related to stem-water dynamics. By comparing them with histological images of wood-formation it is possible to accurately assign growth phases to dendrometer series and optimize their assessment. The advancement in methodological approaches to study intra-annual tree growth data is of major importance in the context of permanent ecological monitoring plots and its role in the assessment of the consequences of climate change on forest growth and conservation.
Overall the findings of this thesis indicate that climate change impacts in the temperate forest of Central Europe will be and have been varied depending on the species considered with stand, site and tree-level conditions strongly modulating its consequences and even direction. Deciduous species, particularly beech, will be at risk due to decreased water availability during summer for which beech shows a high sensitivity. While oak seems to
be less prone to drought related growth reductions and it is plausible to consider changes in dominance towards drier sites, it is still at risk if vulnerability thresholds are crossed. Scots pine appears to be favored by the increased temperatures during late winter, although these are naturally found on poor sites or sites either too dry or too wet for other dominant deciduous species to establish. Nevertheless, Scots pine has been planted on a variety of site conditions and especially in northeastern Germany is among the most widespread and economically important forest trees. Furthermore, the individual variability we have found in climate responses indicates that heterogeneous stands contain resilient sub-populations that
could guarantee survivorship of the species after stark changes in climate means. However, it appears that strong enough stressors such as hotter droughts can trigger wide ecosystem changes with more efficiency than shifts in climate means. Due to this intra-annual growth
monitoring is particularly relevant to foretell ecosystem changes and to understand the complex relationships found in climate-growth analysis performed in dendroecological studies, as it permits to mechanistically understand how conditions outside the tree-ring formation
period affects wood formation.
Determining the effect of a changing climate on tree growth will ultimately depend on our understanding of wood formation processes and how they can be affected by environmental conditions. In this context, monitoring intra-annual radial growth with high temporal resolution through point dendrometers has often been used. Another widespread approach is the microcoring method to follow xylem and phloem formation at the cellular level. Although both register the same biological process (secondary growth), given the limitations of each method, each delivers specific insights that can be combined to obtain a better picture of the process as a whole. To explore the potential of visualizing combined dendrometer and histological monitoring data and scrutinize intra-annual growth data on both dimensions (dendrometer → continuous; microcoring → discrete), we developed DevX (Dendrometer vs. Xylogenesis), a visualization application using the “Shiny” package in the R programming language. The interactive visualization allows the display of dendrometer curves and the overlay of commonly used growth model fits (Gompertz and Weibull) as well as the calculation of wood phenology estimates based on these fits (growth onset, growth cessation, and duration). Furthermore, the growth curves have interactive points to show the corresponding histological section, where the amount and development stage of the tissues at that particular time point can be observed. This allows to see the agreement of dendrometer derived phenology and the development status at the cellular level, and by this help disentangle shrinkage and swelling due to water uptake from actual radial growth. We present a case study with monitoring data for Acer pseudoplatanus L., Fagus sylvatica L., and Quercus robur L. trees growing in a mixed stand in northeastern Germany. The presented application is an example of the innovative and easy to access use of programming languages as basis for data visualization, and can be further used as a learning tool in the topic of wood formation and its ecology. Combining continuous dendrometer data with the discrete information from histological-sections provides a tool to identify active periods of wood formation from dendrometer series (calibrate) and explore monitoring datasets.
Because Moringa is rich in secondary metabolites and phenolics, we faced a challenge in extracting a pure DNA required for AFLP (the first proposed genotyping method). Later, different DNA isolation methods were tested to overcome the obstacles caused by phenolics and sugars, an AFLP protocol that worked well with the cultivated seedlings at the botanical garden in Greifswald. The markers for the Internal Transcribed Spacer (ITS) were as well tested that showed a monomorphic structure between all samples. Finally, SSR (microsatellite) markers were established. To optimize DNA extraction, the method of Doyle and Doyle was modified and optimized. This is an ideal method for obtaining a non-fragmented DNA that could be used for AFLP. In addition, two other DNA extraction methods; (KingFisher Flex robot using Omega M1130 extraction Kits, and spin columns and 96-plates using Stratec kits). Although we achieved similar results for both Robot kits (Omega) and Stratec kits, the amplification for most of the samples extracted with Robot did not work, therefore the Stratec kit was the method of choice as it has also a lower cost, combined with a high quality of DNA. For ITS, no polymorphism was found for 28 samples of M. peregrina from Sinai (sequences submitted to GenBank). However, since microsatellite markers of M. peregrina were not known, it was a challenge to try a cross amplification from other species with well-known microsatellite primers. Cross-amplification of 16 primers known from the related species M. oleifera was tested, and three multiplex PCR reactions were established after testing different annealing temperatures and different primers concentrations. This included 13 primers out of the 16 investigated markers which gave a reliable band. All methods used for genetic assessments for the different Moringa species are compiled in a comparative review to look for connections between the different Moringa species. For Moringaceae, M. oleifera and M. peregrina are closely related to each other. Both species have slender trunks, with thick, tough bark and tough roots and bilaterally symmetrical flowers with a short hypanthium. All but one SSR markers used in this study are highly informative However, the degree of polymorphy varied considerably within the 13 markers used. The Probability of Identity (PI) for all loci was 2.6 x 10-9 with high resolution. The percentage of polymorphic loci for all populations was 88.5±2.2; figures for single populations were 92.3%, 84.6%, 84.6%, and 92.3% for the wadis WM, WA, WF, and WZ, respectively. The genotype accumulation curve as well demonstrated that 7–8 markers were necessary to discriminate between 100% of the multilocus genotypes. Significant departures from HWE were detected for eight loci (P < 0.001), probably due a high degree of inbreeding within population. The observed (HO) and expected (HE) heterozygosities ranged from 0 to 0.86 and from 0 to 0.81, respectively. However, for the pooled population, excluding the monomorphic locus MO41, HO and HE ranged from 0.069 to 0.742 and from 0.126 to 0.73 with averages of 0.423 and 0.469, respectively. The mean of FST was 0.133, indicating that, due to the long generation time of M. peregrina, there is still relatively little differentiation between the four remaining populations. An analysis of molecular variance (AMOVA) revealed that the old populations of M. peregrina are still genetically diverse where 75% of variance was recorded within individuals and 83% within populations. An analysis with STRUCTURE, varying the parameter K between 1 and 7, revealed the most pronounced genetic structure for K=3, thus uniting the populations from two neighboured wadis (W. Agala and W. Feiran). The three groups seem to be now genetically isolated. (They may be remainders of a formerly contiguous population, especially when considering the change towards a drier climate in Northern Africa within the last 6000 years). Six clones of each two individuals collected from the same wadi were found, pointing to vegetative dispersal via broken twigs, which may have rooted after flash floods. It may be an alternative mode of reproduction under harsh conditions. Our data reveal a low gene flow between three of the four wadis, suggesting that the trees are relictual populations. In general, conservation of populations from the three genetically most diverse wadis and cross-breeding of trees within a reforestation program is recommended as an effective strategy to ensure the survival of M. peregrina at Sinai, Egypt.
Myxomycetes are fungus-like protists of the supergroup Amoebozoa found to be abundant in all terrestrial ecosystems. Mainly based on its macroscopically visible fruit bodies, our knowledge on ecology and diversity of myxomycetes is better than for most other protistean groups, but there is still a lacking knowledge about global diversity patterns since tropical regions, especially the old world tropics, are still understudied. In this thesis a combination of classical ecological analyses and modern molecular methods were used to expand the current knowledge on myxomycete diversity and biogeography in the Paleotropics. A number of surveys in the Philippine archipelago are conducted to provide and to add information about the distribution of myxomycetes in the Southeast Asian region. A combination of field collecting and ca. 2500 moist chamber cultures from four unexplored areas in the Philippines, namely, the Bicol Peninsula (746 records, 57 taxa), Puerto Galera (926 records, 42 taxa), Quezon National Park (205 records, 35 taxa), and Negros Province (193 records, 28 taxa), now brings the number of species recorded for Philippines to 150; with one record, Stemonaria fuscoides, noted as new for the Asian Paleotropics. Collecting localities that have more diverse plant communities showed as well higher species diversity of myxomycetes. In congruence with studies from the Neotropical forests, it seems also that anthropogenic disturbances and the type of forest structure affect the occurrence of myxomycetes for the Philippines. Another survey carried out in another paleotropical region, the highlands of Ethiopia, revealed a total of 151 records, with all 39 species found as new for the country. Three records of Diderma cf. miniatum with a strong bright red peridium and one record of Didymium cf. flexuosum with a conspicuous broad reticulation in the spore ornamentation were described and barcoded, since both may represent morphospecies new to science. A number of rarely recorded species, like Didymium saturnus, Metatrichia floripara, Perichaena areolata, and Physarina echinospora showed that resembling to its unique flora, the east African mountain ranges harbor a diverse and distinctive myxomycete assemblage. One incentive of this study was to compile a solid large dataset for the Paleotropical region that is comparable to data obtained from comprehensive studies performed in the Neotropical areas a decade ago. A total of eight surveys (with four comprehensive regional surveys, two from lowland and two from highland, for each region, the Neo- and the Paleotropics) were used, to compare the myxomycete assemblages of both regions. Each survey comes from a region with fairly homogenous vegetation, and includes specimens from both field and moist chamber cultures component. A statistical analysis of species accumulation curves revealed that only between 70 and 95% of all species to be expected have been found. Even for >1000 specimens per survey these figures seem hardly to increase with increasing collection effort, since a high proportion of species is always represented by a single or a few records only. Both ordination and cluster analysis suggests that geographical separation explains differences in species composition of the myxomycete assemblages much better than elevational differences. 5 The molecular component of this thesis is a phylogeographic study of the widely distributed tropical myxomycete Hemitrichia serpula. It is a morphologically distinct species with golden-yellow fructifications forming a reticulum. However, subtle variation in spore ornamentation points to cryptic speciation within this myxomycete. Using two independent molecular markers, 135 partial sequences of the small subunit (SSU) rRNA (a nuclear but extrachromosomal gene) and 30 partial sequences of the elongation factor 1 alpha gene (EF1A) (a nuclear gene), a study of 135 Hemitrichia serpula specimens collected worldwide revealed the existence of four clades that are likely to represent reproductively isolated biospecies, since each clade shows a unique combination of SSU and EF1A genotypes. A Mantel test with the partial SSU sequences indicated geographical differentiation, giving a correlation coefficient of 0.467 between the pairwise computed geographic and genetic distances, compared with the 95% confidence interval from 999 permutations (-0.013 to 0.021). Biogeographical analysis of the 40 SSU ribotypes showed clear intraspecific variation and geographic differentiation demonstrating a limited gene flow among the world population. We argue that the distribution of cryptic species in the different clade can be explained by ongoing, but still incomplete speciation. An event-based ancestral area reconstruction using the software S-DIVA employed in RASP showed that the probable origin of the ribotypes was a global dispersal event in the Neotropics. Additional species distribution models that were implemented for the three most prominent clades show different putative ranges. As such H. serpula supports the moderate endemicity hypothesis for protists. In summary, myxomycete assemblages in the Paleotropics (1) displayed a higher diversity than for Neotropical forests, (2) harbor unique taxa that differentiates those assemblages in spite of the expected similar macroecological all over the Tropics, (3) are affected by geographical barriers that likely causes speciation both at a morphospecies and biospecies level, and (4) follow the ubiquitous model in the sense that gene flow mediated by long-distance dispersal of spores is high enough that a species can fill out its entire putative range, but (5) the gene flow is not high enough to prevent variation in regional gene pools, which may lead to speciation and is better explained by the moderate endemicity model. Our data are still too limited to draw a comprehensive picture of the diversity of tropical myxomycetes, but the baseline information compiled with the aid of both classical ecology and molecular approaches from this study are first major steps towards this goal.
Abstract
Aim
Species–area relationships (SARs) are fundamental scaling laws in ecology although their shape is still disputed. At larger areas, power laws best represent SARs. Yet, it remains unclear whether SARs follow other shapes at finer spatial grains in continuous vegetation. We asked which function describes SARs best at small grains and explored how sampling methodology or the environment influence SAR shape.
Location
Palaearctic grasslands and other non‐forested habitats.
Taxa
Vascular plants, bryophytes and lichens.
Methods
We used the GrassPlot database, containing standardized vegetation‐plot data from vascular plants, bryophytes and lichens spanning a wide range of grassland types throughout the Palaearctic and including 2,057 nested‐plot series with at least seven grain sizes ranging from 1 cm2 to 1,024 m2. Using nonlinear regression, we assessed the appropriateness of different SAR functions (power, power quadratic, power breakpoint, logarithmic, Michaelis–Menten). Based on AICc, we tested whether the ranking of functions differed among taxonomic groups, methodological settings, biomes or vegetation types.
Results
The power function was the most suitable function across the studied taxonomic groups. The superiority of this function increased from lichens to bryophytes to vascular plants to all three taxonomic groups together. The sampling method was highly influential as rooted presence sampling decreased the performance of the power function. By contrast, biome and vegetation type had practically no influence on the superiority of the power law.
Main conclusions
We conclude that SARs of sessile organisms at smaller spatial grains are best approximated by a power function. This coincides with several other comprehensive studies of SARs at different grain sizes and for different taxa, thus supporting the general appropriateness of the power function for modelling species diversity over a wide range of grain sizes. The poor performance of the Michaelis–Menten function demonstrates that richness within plant communities generally does not approach any saturation, thus calling into question the concept of minimal area.
Many ethicists consider the rule of nonmaleficence – Do no harm! – to be the most fundamental ethical rule and key to ethics. This rule is taken as the foundation of the present work. I argue that any entity, that can be harmed, ought to be morally considered. Only those entities can be harmed that are inherently goal-directed or striving – in other words, that possess a telos. The reason is that by constantly acting in ways to preserve their being and to prevent their own not-being, goal-directed entities express that they value their own good. To harm such a goal-directed entity therefore means to act against the values and the good of it. The argument so far supports ethical biocentrism, that is, the view that all living, goal-directed beings are harmable, possess interests, and are, thus, morally considerable, while non-living beings are not. Yet, I digress from classical biocentrism since I conclude, based on analysis of evolutionary and biological findings, that the locus of goal-directedness and potential harm is also, if not foremost, situated in genes. Within many species, individual organisms sacrifice themselves for the betterment of their descendants like in praying mantises where males sacrifice themselves and are eaten by the female during copulation. This shows that it is not necessarily the organism as an individual which follows its own interests and goals. Individual organisms are – to a high degree – “directed” by their genes. Even in highly developed animals, genes play a significant role in the goal-directedness of the individuals. An adult human organism, for example, consists of trillions of individual cells. However, all these cells are derived from a single cell – the fertilized egg. Each of our lives begins with a single cell that contains almost all information to finally form our functioning body. Where do all the instructions, the goal-directedness come from to finally form an adult organism if not from the genes contained in this first cell, the zygote? It is the genes of each zygote that contain a set of information for making the appropriate adult. Organisms are largely programmed to do everything necessary to stay in existence, to survive, and finally to pass on their genes successfully – either by reproducing or by helping close relatives that carry a similar set of genes. The main interests of genes lie in their continued existence. This necessitates reproduction since the gene-carrying organisms will inevitably die. Single genes, though, are difficult to morally consider directly since they perform entirely in and through individual organisms. Without the individual organisms, genes cannot survive. The good news for ethics is that the interests of genes and organism usually converge: individual organisms try to survive – as do their genes. In practice, it thus makes much more sense to give moral attention to entire organisms instead of single genes. An advantage of the gene-centric ethical theory proposed here is that the moral relevance of future generations and species can be “directly” justified: Since genes have an interest in their continued existence (in the form of identical copies), they would be harmed if future generations were doomed to inexistence. Within a species with many individuals, each gene is likely to be represented in many organisms. The smaller the gene pool of a species gets, the less likely is the existence of the same gene and, therefore, the less likely is the fulfillment of its fundamental interests. Hence, saving one of the last individuals of an endangered species would be ethically preferable to saving an individual of a populous species. Unfortunately, moral conflicts are abundant – not only concerning biodiversity conservation. We often have to choose between harming either entity A or entity B – for example in the daily questions of food and eating. In such cases, a strictly egalitarian theory (especially an egalitarian biocentric one) would be no real help and without any guiding power. Therefore, on a second level of morality, we have to include additional criteria that help to minimize the overall harm. For these criteria to be objective, universalizable, and thus moral ones, I apply a number of widely accepted ethical principles like the principle of proportionality, impartiality, self-defense, and universalizability. By recurring to these principles, I identify a set of morally relevant criteria for a fair resolution of moral conflict situations which help to minimize the overall harm done. The identified criteria are: (phylogenetic) nearness, endangerment, r- or K-selected species, evolutionary distinctiveness, ability to regrow and to regenerate, pain-susceptibility, and ecosystematic role. In sum, my gene-centric environmental ethical theory provides numerous reasons and arguments for biodiversity conservation – for protecting genes, organisms, species, and ecosystems alike – without neglecting the needs of humans.
Late Quaternary evolution and carbon cycling of tropical peatlands in equatorial Southeast Asia
(2014)
Peatlands are an important component in the global carbon cycle as they act as both long-term sinks for carbon dioxide and significant sources for methane. Over the Holocene period (the past 11,700 years) continuous CO2 uptake by peat accumulation exceeded methane emissions in northern peatlands and resulted in a net-radiative cooling effect on the global climate.Although 11% of the global peatland area is located in the tropics, the role of tropical peatlands in the global carbon cycle and in influencing the Earth’s radiative budget has not been resolved. Climate-carbon cycle models have thus far not included tropical peatlands because reliable data on their past rates of carbon uptake and release are not available. In this thesis this problem has been approached by reconstructing peatland expansion and rates of carbon storage and release over the Late Quaternary (Latest Pleistocene and Holocene) for the largest tropical peatland area, which is located in equatorial SoutheastAsia (i.e. Sumatra, Borneo, Peninsular Malaysia). Peat accumulation in the tropics remains an enigmatic phenomenon, because the constantly high temperatures of 26-27°C should theoretically drive rapid soil carbon turnover and thus not enable the accumulation of peat. Therefore this thesis also explores the mechanisms that cause peat formation in the SoutheastAsian tropics as well as the drivers behind changing rates of carbon accumulation. Carbon dynamics were analyzed at the regional scale (103–105 km2) of SoutheastAsia over millennial timescales (paper, I, II) and at the local scale (101–102 m2) of a peatland site on annual to centennial timescales (paper III, IV). Paper I presents the first systematic classification of the nearly 160,000 km2 SoutheastAsian lowland peatlands (below 70 m a.s.l.) into geographic peatland types. The peatlands were divided into 1) coastal peatlands of PeninsularMalaysia, Sumatra, and Borneo (~130,000 km2) and into inland peatlands (~30,000 km2) of 2) Central Kalimantan (southern Borneo), 3) the Kutai basin (eastern Borneo), and 4) the Upper Kapuas basin (western Borneo). Coastal peatlands formed by primary mire formation directly on freshly exposed marine or mangrove soils with the lowering of the sea level during the Late Holocene. In contrast, inland peatlands formed via paludification on either terrestrial sand soils (Central Kalimantan) or by both paludification and terrestrialization (Kutai basin, Upper Kapuas basin). The sequence of peatland initiation was established by applying the common cumulative basal date frequency approach (paper I). This method revealed clear differences in the timing of peatland initiation: 1) the Upper Kapuas peatlands are the oldest postglacial peat formations and date from 20,000-13,000 cal BP (calendar years before present), 2) inland Central Kalimantan peatlands date from 14,500-9000 cal BP, 3) the Kutai peatlands date from 8300-4900 cal BP, and 4) and the coastal peatlands date from 7700-200 cal BP. Coastal peatlands have a Holocene average carbon accumulation rate of 77 g C m-2 yr-1, being recognized as the globally most effective terrestrial ecosystems in terms of long-term carbon sequestration. Except for the Kutai peatlands, the Holocene average carbon accumulation rates of inland peatlands are significantly lower (20-30 g C m-2 yr-1) and very similar to the average long-term rates of northern peatlands. Fluctuations in past rates of carbon accumulation of SoutheastAsian peatlands could for the first time be linked to paleoclimatic changes, primarily variations in moisture availability (paper I, II). Hydroclimatic influences on carbon accumulation rates were related to shifts in the mean position of the Intertropical Convergence Zone, changes in the intensity of theAustral-Asian monsoon system, and variations in the frequency of the El Niño- Southern Oscillation. In contrast, peatland initiation and expansion was driven by sea-level change (paper I, II). The deglacial rise in sea-level is identified as the primary driver for inland peatland formation in Borneo, because the rising sea-level 1) lowered the hydrological gradients in the SoutheastAsian island archipelago inducing rising ground and surface water levels on these islands, and 2) led to higher atmospheric moisture availability due to the associated expansion of marine water masses on the shelf floor. Paper II shows that inland peatland initiation and expansion was most extensive during deglacial meltwater pulses, when the rate of sea-level rise exceeded 10 mm yr-1. Only when the rate of sea-level rise had slowed down to a threshold of 2.4 mm yr-1 by ~7000 cal BP could peat accumulation along the coasts keep up with the sea-level rise and coastal peatlands could form. Hydro-isostatic adjustment of the Sunda Shelf led to a sea-level lowering by ca. 5 m over the past 4500 years. Falling sea levels exposed extensive marine areas that were rapidly colonized by peat swamp forests.Anewly 140 developed method for the reconstruction of past peatland area based on transfer functions (paper II) reveals that 70%of the peatlands of Sumatra and Kalimantan only formed during the past 4000 years.Moreover, this new transfer function approach shows that the common basal dates approach overestimated the extent of peatlands in the past. This method, in general, leads to higher rates of reconstructed cumulative peat carbon uptake for the past. By combining reconstructed peatland areas and mean rates of carbon accumulation over millennial timescales from each peatland type the carbon uptake of all peatlands from Sumatra and Kalimantan could be quantified for the past 15,000 years (paper II). Carbon uptake remained below 1 Teragram (Tg) C yr-1 from 15,000-5000 cal BP because the total area of peatlands was less than 30,000 km2. Rapid peatland expansion driven by the lowering of sea-level over the past 5000 years increased carbon uptake on Sumatra and Kalimantan to over 7 Tg C yr-1 and resulted in an exponential growth of the regional peat-carbon reservoir to a size of over 20 Pg C. SoutheastAsian peatlands therefore had no significant role in the Late Pleistocene and Early Holocene global carbon cycle. However, because of their rapid expansion after 5000 cal BP by over 100,000 km2 the peatlands of SoutheastAsia became a globally important carbon sink during the Late Holocene and likely caused an atmospheric CO2 drawdown of 1-2 ppm (paper II). This previously unrecognized biospheric carbon sink partly compensated for contemporaneous terrestrial carbon losses associated with the desertification of Northern Africa. The mechanisms that enable high rates of carbon accumulation of coastal peatlands were explored in a peat core study presented in paper III. Here the use of a new coring technique for the tropics and the application of noninvasive geophysical measurements were employed to derive a high-resolution record of carbon accumulation rates. This study provides the first description of peatland pools for SoutheastAsia, which form as tip-up pools from falling trees such as Shorea albida. Based on a pollen and macrofossil record a fossil tip-up pool could be identified in the core and an associated carbon accumulation rate of 100 to over 900 g C m-2 yr-1 determined. Thus tip-up pools function as local hot spots for carbon accumulation, fundamentally different from northern hemisphere peatland pools, which act as net-carbon sources. From a time-series of aerial photographs the rate of tree fall and thus pool formation was determined at 0.4 tree ha-1 yr-1 (paper III).Asimulation model indicates that up to 60%of the peat deposited in peat domes of Borneo is derived from filled up fossil pools – changing the paradigm that Southeast Asian peatlands mainly form from belowground biomass and providing an explanation for the rapid carbon accumulation of these ecosystems. The climate impact of peatlands is, however, not only related to their capacity to rapidly store carbon, because peatlands also release the strong greenhouse gas methane – a by-product of anaerobic decomposition.Ametaanalysis of methane emission data from SoutheastAsian peatlands (paper IV) shows that their average annual methane release of 3 g CH4 m-2 yr-1 is lower than the average annual release of ~9 g CH4 m-2 yr-1 from northern peatlands, although the higher tropical soil temperatures should lead to significantly higher emissions. The limited degree of anaerobic decay is explained by the recalcitrance of the deposited biomass, which contains high amounts of lignin and tannin, providing another explanation for rapid carbon accumulation. Low anaerobic decomposition together with high rates of carbon accumulation imply that limits to vertical peat bog growth in SoutheastAsia are not set by cumulative anaerobic decay as in northern raised bogs. Instead peat bog growth is limited by aerobic decomposition related to water-table lowering as shown by a derived linear relationship between the amount of released CO2 from aerobic peat decomposition and the mean annual depth of the peatland water-table (paper IV). The climatic effect of Southeast Asian peatlands was determined by the global warming potential (GWP) method, which compares carbon uptake with methane emissions in terms of CO2-equivalents. The low methane emissions and high carbon accumulation rates of coastal peatlands result in a net annual uptake of 1340 kg CO2- equiv. ha-1 yr-1 over a 100 year GWP time-horizon. Under natural conditions coastal Southeast peatlands exert a significant net cooling effect on the global climate in contrast to northern peatlands, which have a warming effect or act climatic neutral on this time frame. It can be concluded that the tropical peatlands of SoutheastAsia are the strongest carbon sinks among all peatlands globally with a notable influence on the Earth’s radiative budget. However, today an estimated 90,000 km2 of peatlands in SoutheastAsia is drained for agriculture (e.g. oil palm plantations) and deforestation. These drained peatlands release annually over 140 Tg C yr-1 from aerobic peat 141 decomposition. Drainage also facilitates the regular spread of peat fires in this region, which on average release around 75 Tg C yr-1. Ongoing total carbon losses (~220 Tg C yr-1) exceed the natural carbon uptake by a factor of 25 and demonstrate that the entire SoutheastAsian peatland region has recently switched from a globally important carbon sink to a globally significant source of atmospheric CO2 (paper II, IV).
Production-Integrated Compensation in Environmental Offsets—A Review of a German Offset Practice
(2018)
Charakterisierung plasmamembrangebundener Proteasen von Nicotiana tabacum und Hordeum vulgare
(2012)
Es wurden erstmals zwei plasmamembrangebundene Proteaseformen in den Wurzeln der Gerste massenspektrometrisch identifiziert und den Metalloaminopeptidasen der Peptidasefamilien M17 und M24 zugeordnet. Ausgehend von Enzymaktivitätstests mit verschiedenen Substraten und gelelektrophoretischer Fraktionierungen existieren darüber hinaus weitere PM-Proteasen des Aminopeptidase-, Carboxypeptidase- und Endoproteasetyps an der pflanzlichen Plasmamembran (PM). Die untersuchten PM-Proteasen stellen Triton X-114-resistente Proteine dar, die erfolgreich mit Octylglucosid solubilisiert wurden und sowohl an der inneren als auch an der apoplastischen Seite der PM lokalisiert sein könnten. Durch endogene Proteolyse werden andere PM-Proteine wie Aquaporine und P-Typ-H+-ATPasen durch die PM-Proteasen reguliert. Dabei zeigen einige dieser Proteolyseprodukte Proteaseaktivität, die für vier Proteaseformen der Gerste erst nach der Abtrennung von der PM nachweisbar war.
Abstract
Monitoring the general public's support toward wildlife species is a strategy to identify whether a specific human–wildlife conflict (HWC) is escalating or de‐escalating over time. The support can change due to multiple factors, such as mass media news of HWC or providing information about ecological traits of a species. Methods such as the rating scale (RS) and the allocation of a fixed amount of money (money allocation [MA]) have been used in the human–wildlife dimension as a proxy to measure support toward wildlife species. We compared these two methods' capacity to assess the general public's support changes toward wildlife species in an experimental design setting. Face‐to‐face interviews were applied among urban dwellers (n: 359) in Valdivia, Chile. In each interview, the support toward 12 wildlife species was elicited using an RS and MA methods, on two occasions, before and after disclosing ecological traits of the species. The results indicate that the MA grouped the wildlife species based on shared ecological traits, information disclosed to the participants, while the RS did not obtain the same results. Specifically, the MA identified an increase and decrease of support toward the wildlife species, and the RS only an increment of support. These results could be partly explained due to the conceptual foundation of each method. The MA was designed to elicit preferences in a constrained choice, while the RS measures attitudes. As a constrained choice, the MA does allow maximum support to be given to one species only if all other species are left unsupported, while in the RS, it is possible to provide maximum support for all species. The mentioned characteristics of the MA make it more suitable than the RS when the objective is to identify support changes.
To uncover the genetic structure of Populus euphratica forests along the Tarim River in Xinjiang, China, a PCR set of eight microsatellite markers was established. 18 primer pairs originally developed for P. tremuloides and P. trichocarpa were screened for amplification in P. euphratica. The eight most variable loci were selected for further genotyping experiments. Subsequently, two multiplex PCR assays, each containing four loci, were set up and optimized. Three populations containing altogether 436 trees were used to characterize the selected loci. The set was found to be moderately polymorphic (mean expected heterozygosity = 0.57). The resolution was sufficient to discriminate even siblings with high confidence (PID = 1.81x10-5). Cumulative exclusion probabilities were 0.89 (single parent), 0.98 (paternity), and 1.00 (parent pair) and proved the set’s suitability for parentage analysis. Practical and theoretical analysis of consequences of genotyping errors in this semi-clonal plant showed that the vast majority of errors (62.1%) lead to division of identical genotypes. Merging of different genotypes was found to be a very rare case (0.4%). This always leads to an overestimation of genotypes. A similarity threshold of one allele difference between two genotypes to be regarded as being identical lead to an underestimation of clonal richness and genotype number of one per cent compared to an overestimation of more than 20 per cent without such a threshold. Allowing a certain amount of variation is therefore expected to reflect the clonal structure better than an analysis that considers exact matches only. Using a combination of morphological and molecular analyses, a first study demonstrated that root suckers are clearly distinguished from seedlings in their root architecture. Root suckering starts when trees are 10–15 years old and bridges distances of up to 40 m at a time. Root suckers depend on their parent tree for at least five years and are expected to have a higher mortality than generatively grown trees. Molecular analysis of old growth stands revealed a highly variable proportion of clonal growth between different stands. In the study area, the proportion of clonality decreases with distance to the main river bed (R = 0.31 at the site closest to the main river, R = 0.97 at the site farthest away from the river). An analysis of the history of river movements at different sites indicates a dependency of clonal growth on the frequency of ground water replenishment by the yearly floods. Genetic differentiation among the stands in the study area is low (FST = 0.055), and isolation by distance was not detectable (P = 0.058). Also, the river does not function as a vector for directed gene flow in downstream direction (P > 0.11). The forests are therefore considered to be one large panmictic metapopulation with unrestricted gene flow. Clonal growth does not lead to higher final stand densities (P = 0.99) and is obviously not of crucial importance for stand survival. Furthermore, analysis of vitality measures and size differences indicate that root suckers are in disadvantage both in vitality and in survival rate compared to seedlings. In this light, a possible function of clonal growth as a luxury strategy to enhance a genetic individual’s reproduction success under good site conditions can be discussed. The genetic structure of the (meta)population bears direct implications for management and conversation of the Tugai forest in Xinjiang. Due to the low degree of differentiation and the unhindered gene flow even small, fragmented, or isolated populations have conservational value, thereby clearly answering the SLOSS question (a single large or several small protected areas) in the latter sense. More than that, non-clonal stands with the highest amount of genotypic diversity can be easily identified on satellite and aerial images. Selection of such stands for conservation is therefore possible without expensive and time-consuming molecular analyses.
Myxomycetes (Amoebozoa, plasmodial slime molds) are one of the last larger groups of organisms where the biodiversity is not yet investigated by molecular methods, except for a very few cultivable model species. Based on the first phylogenies for the group produced in 2012 and 2013, this thesis work explores the genetic diversity of wild populations of myxomycetes, addressing two questions: 1. Does diversity and phylogenetic trees found with barcode markers fit the current morphological species concept, and do barcode markers reveal a lower or higher diversity than found by morphological characters? In the first case, morphological characters seen as decisive for species differentiation would be plastic (shaped by the environment), in the second case we must assume the existence of cryptic species. 2. Can genetic markers be used to see if natural populations of myxomycetes reproduce mainly sexual or asexual? Sexuality is proven to occur in the Amoebozoa, but asexual reproduction should be advantageous for habitat colonization. Experiments with cultivable species have shown that both reproductive modes occur in the myxomycetes. Two species complexes were chosen for an in-depth investigation. The first species is the common wood-inhabiting myxomycete Trichia varia (Pers. ex J.F. Gmel.) Pers., one of the first myxomycetes to be described and always seen as a variable, yet single, species. The second example involves a snowbank species so far known as Lamproderma atrosporum Meyl., which was recently transferred to a genus on its own, Meriderma Mar. Mey. & Poulain, and a morphological species concept, including several taxa, was proposed. Trichia varia belongs to the bright-spored myxomycetes. Partial sequences of three independent markers (nuclear small-subunit ribosomal RNA gene, SSU, extrachromosomal; protein elongation factor 1 alpha gene, EF1A, chromosomal; cytochrome oxidase subunit 1 gene, COI, mitochondrial) from 198 specimens resulted in a three-gene phylogeny containing three groups, within each group combinations of the single-marker genotypes occurred exclusively. Complete SSU sequences were generated for 66 specimens, which revealed six positions that can carry group I introns and putatively functional or degenerated homing endonuclease genes in two groups. All observations (genotypic combinations of the three markers, signs of recombination, intron patterns) fit well into a pattern of three cryptic biological species that reproduce predominantly sexual but are reproductively isolated. The pattern of group I introns and inserted homing endonuclease genes mounts evidence that the Goddard-Burt intron life cycle model applies to naturally occurring myxomycete populations. A total of 89 specimens of the dark-spored myxomycete genus Meriderma from five European mountain ranges were sequenced for partial genes of SSU and EF1A. The latter gene includes an extremely variable spliceosomal intron. Three clades, the two morphologically recognizable taxa M. fuscatum, M. aggregatum, and the morphologically complicated complex species M. atrosporum agg., were recovered. The EF1A-based phylogeny of the 81 specimens of M. atrosporum agg. resulted in seven subclades, with the two EF1A-haplotypes of a sequence sharing always one subclade for each of the 50 heterozygous specimens, a pattern consistent with the existence of several independent but sexually reproducing biospecies. Identical EF1A genotypes occurred more often within a regional population than in between. A simulation assuming panmixis within a biospecies but not in between, and isolation between mountain ranges suggested that similar numbers of shared genotypes can be created by chance through sexual reproduction alone. Numbers of haplotypes shared between mountain ranges correlate with geographical distance, suggesting occasional long-distance dispersal by spores. An enlarged data set containing 227 partial SSU sequences of Meriderma spp. identified 53 ribotypes, with a ribotype accumulation curve indicating 68.4±14.5 ribotypes to expect according to the Chao2 estimator. The topology of the SSU phylogeny generally confirms results from the partial SSU and EF1A data set of 89 specimens, where several putative biospecies could be recognized. A novel method for automated analyses of SEM images allows to derive quantitative descriptors for spore ornamentation, which were subjected to multivariate analyses. Spore ornamentation provided traits with the highest explanatory power in a multivariate statistics, whereas spore size and stalk length were much less significant. For some but not all putative biospecies a unique combination of morphological characters was found, which is in accordance with the hypothesis of instant sympatric 8 speciation via mutations creating incompatible strains splitting from existing biospecies. The morphologically recognizable taxa of the genus are described and a key for the genus Meriderma is given. To compare morphological and molecular diversity in lignicolous myxomycetes, all specimens found in a study covering the late-autumn aspect were sequenced, using partial SSU gene as a barcode marker. A total of 161 logs in the old-growth forest Eldena, northeastern Germany, was surveyed, resulting in 530 collections representing 27 taxa from 14 genera. Bright-spores species were far more abundant than dark-spored taxa. A phylogeny based on partial SSU sequences for bright-spored myxomycetes revealed morphospecies to be largely consistent with phylogenetic groups. Most but not all morphospecies may contain multiple ribotypes that cannot be differentiated by light microscopy. This first study backing up a traditional morphology-based survey by a full molecular component demonstrates that partial SSU sequences can function as reliable barcode markers for myxomycetes, but reveals as well a significant, yet not infinite, amount of hidden diversity. The main conclusions of this work, set up in the frame of a project funded by the German Research Council (DFG), are the following: 1. Sexual reproduction seems to be an important, if not the dominating mode (apart from clonal myxamoebal populations built up by binary fission) of reproduction in naturally occurring populations of myxomycetes. 2. From the two investigated species complexes we can expect many, if not most, morphopecies to be composed of reproductively isolated, sexually reproducing, biospecies. 3. Partial SSU sequences, as most widely used in this study, seem to represent suitable barcode markers for the group and can be used to distinguish the (usually cryptic) biospecies, although they alone do not allow any conclusions about reproductive isolation and speciation processes. 4. We have to expect a significant amount of hidden diversity in myxomycetes, which will increase the number of taxa from ca. 1000 recognized morphologically by a factor between two and ten.
Peatlands cover only about 3% of the terrestrial surface but are significant players in the global carbon (C) cycle and the climate system, since they store roughly one quarter of the global soil carbon (C) and are among the largest natural sources of methane (CH4). Since the resulting feedbacks on the climate system are uncertain, research efforts aim at identifying key processes and quantifying the C exchange from ecosystem to regional and global scales. To identify peatland ecosystem dynamics requires analysis of yet different scales. The key scale for their C dynamics is the microform scale, which is the smallest entity of the system. To estimate ecosystem dynamics, up-scaling from the microform scale is needed. Up-scaling demands (1) a correct estimation of the spatial heterogeneity and (2) the correct aggregation. In this thesis, the traditional spatial weighting of microform fluxes by the microform distribution is evaluated by (1) analyzing the flux calculation procedure, (2) investigating the effect of the resolution of the landcover maps on the up-scaling and by (3) cross-evaluating the up-scaling result with the directly measured ecosystem flux. Eventually, it is evaluated how these dynamics are considered in a mechanistic ecosystem model (LPJ-WHyMe). CH4 fluxes were measured on the microform scale with the closed chamber technique and on the ecosystem scale with the eddy covariance (EC) technique. The quantification of microform fluxes relies on the correct flux calculation. Since only few gas samples are taken during the closure period, traditionally the linear regression is applied when calculating CH4 fluxes from chamber measurements. Still, the chamber itself affects the diffusion gradient between peat and chamber atmosphere resulting in a theoretically non-linear concentration increase in the chamber. Using data with six data points per measurement from different microform types it is tested whether the linear or exponential regression fits the data better. In the majority of cases, the linear regression fits best. However, the exponential concentration change might still not be detectable resulting in an underestimation of the ’real‘ flux and the test of different techniqes to estimate the slope of a non-linear function with small sample amounts is recommended. To define the spatial heterogeneity of the peatland surface, the application of remote sensing techniques offer the advantage of supplying area-wide information with less uncertainty when compared to vegetation mapping along transects. However, the required resolution to resolve the microform distribution is <1m which in this study was derived from near-aerial photography. Besides for up-scaling, the resulting high-resolution landcover map was used in combination with a footprint model to analyze (1) the effect of landcover on the directly measured ecosystem flux and (2) its spatial representativeness. It was shown that fluctuations of the measured ecosystem flux over periods of several days could be explained by changes of the landcover composition in the source area of the EC measurements. The estimated budget was slightly biased towards the higher emissions from lawns which could be corrected. Still, the seasonal ecosystem CH4 budget was higher than the estimate derived from the up-scaling of microform fluxes. This is most likely due to an underestimation of microform fluxes by the chamber technique. Generally, the budget estimate derived from EC measurements was more accurate, i.e., characterized by less uncertainty than the up-scaled estimate. The developed approach depends on (1) identification and accurate measurements of all relevant microform types and (2) on spatial information which should be smaller than the footprint size of the EC measurements and available on the scale relevant for the studied process, i.e., the microform scale. The demonstrated effect of microform dynamics on the ecosystem flux highlights the importance of dealing with spatial heterogeneity of ecosystems in mechanistic modelling. For example, in LPJ-WHyMe, the ecosystem flux is simulated with mean input variables as water table level. To investigate its model performance, flux data from the rather homogeneous peatland margin and the more heterogeneous peatland centre were compared with the model output. At the homogeneous peatland margin, the ecosystem flux was clearly dominated (with a contribution of 91%) by one microform flux. In this case, one water table level as input variable could be used to estimate the ecosystem flux. However, for a heterogeneous site such as the peatland centre in this study, only one mean water table would simulate a mean microform flux but not the ecosystem flux. Consequently, it is recommended to incorporate at least one high-emitting and one low-emitting microform type in the model to increase the model performance.
Sphagnum growth under N saturation: interactive effects of water level and P or K fertilization
(2020)
Abstract
Sphagnum biomass is a promising material that could be used as a substitute for peat in growing media and can be sustainably produced by converting existing drainage‐based peatland agriculture into wet, climate‐friendly agriculture (paludiculture). Our study focuses on yield maximization of Sphagnum as a crop.
We tested the effects of three water level regimes and of phosphorus or potassium fertilization on the growth of four Sphagnum species (S. papillosum, S. palustre, S. fimbriatum, S. fallax). To simulate field conditions in Central and Western Europe we carried out a glasshouse experiment under nitrogen‐saturated conditions.
A constant high water table (remaining at 2 cm below capitulum during growth) led to highest productivity for all tested species. Water table fluctuations between 2 and 9 cm below capitulum during growth and a water level 2 cm below capitulum at the start but falling relatively during plant growth led to significantly lower productivity. Fertilization had no effect on Sphagnum growth under conditions with high atmospheric deposition such as in NW Germany (38 kg N, 0.3 kg P, 7.6 kg K·ha−1·year−1).
Large‐scale maximization of Sphagnum yields requires precise water management, with water tables just below the capitula and rising with Sphagnum growth. The nutrient load in large areas of Central and Western Europe from atmospheric deposition and irrigation water is high but, with an optimal water supply, does not hamper Sphagnum growth, at least not of regional provenances of Sphagnum.
The genus Sphagnum (L.) belongs to the Bryophyte plant division and includes 150 to 400 species. As all mosses Sphagnum has no roots and can hardly regulate its water uptake. As long as enough water is available Sphagnum can grow nearly unlimited while the lower, older parts die off and may accumulate as peat. Single Sphagnum species are able to build up an acrotelm as a hydrological self-regulating mechanism of a bog, a type of intact peatland (mire) only fed by precipitation. Because Sphagnum dominates nearly half of the peatlands in the world, it is one of the globally most important peat formers.
Sphagnum biomass is an important raw material for many valuable products, but in a much larger scale Sphagnum is used in its fossil state – as Sphagnum peat. With a consumption of c. 40 million m³ per year globally, Sphagnum peat is the predominant raw material for horticultural growing media. To get Sphagnum biomass it is currently collected from wild populations, to get Sphagnum peat it is extracted from bogs.
By far, more peatlands (including bogs) are subjects to drainage for agri- and silvicultural use since centuries, which harms their ecosystem services, including their typical biodiversity, carbon storage capacity, water regulation function and palaeo-environmental archive. In Europe, c. 25 % of all peatlands are used for agriculture, in Germany more than 80 %. Globally drained peatlands cover 0.4 % of land surface but produce 5 % of all anthropogenic greenhouse gas emissions.
Sphagnum farming aims to cultivate Sphagnum biomass on rewetted degraded bogs as a new agricultural crop. Sphagnum farming is paludiculture and contributes to the protection of bogs and their peat by conserving the peat body through rewetting and by offering a climate-friendly alternative to fossil peat in horticulture. Next to climate change mitigation, Sphagnum farming has benefits for nutrient retention and biodiversity conservation.
This thesis contributes to the development of Sphagnum farming by studying the conditions under which Sphagnum may reach maximal growth. Under (semi)controlled glasshouse conditions, we tested the effects of different water regimes and fertilisation levels on the productivity of various Sphagnum species. On a 1260 m² large irrigated field on cut-over bog in Lower Saxony (Germany) we studied length increase, biomass productivity and tissue nutrient content of Sphagnum over a period of 10 years. Finally, we reviewed all scientific literature and practical experiences with respect to Sphagnum farming worldwide as a first step towards a science-based implementation manual.
The main conclusions of our studies are:
1. It is possible to cultivate Sphagnum on rewetted cut-over bog and on rewetted former bog grassland.
2. The rapid establishment of a closed, highly productive Sphagnum lawn requires the deployment of a loose, >1(–5) cm thick Sphagnum layer (80–100 m³ of Sphagnum founder material per hectare) at the start of the growing season (when long frost periods are no longer probable) and adequate water supply.
3. Water table management must be very precise until a dense, well-growing Sphagnum lawn has established. For highest yields the water table should rise with Sphagnum growth and be kept a few centimetres below the Sphagnum capitula. Water supply via open irrigation ditches seems to function better than via subsurface irrigation pipes.
4. Fertilisation does not increase Sphagnum productivity on sites with high atmospheric nitrogen deposition and irrigation with phosphate-rich surface water from the agricultural surroundings. To avoid growth reduction a balanced stoichiometry is important.
5. From all studied species, Sphagnum fallax has the highest productivity. Its fast decomposition and low water holding capacity, however, may make this species less suitable for use in horticultural substrates.
6. Vascular plant cover on Sphagnum production fields can be kept low (<50 % cover) by regular mowing. Higher covers retard Sphagnum growth and reduce its quality for growing media.
7. Pathogenic fungi occurred far more in the glasshouse than in the field and have to be controlled for highest Sphagnum yields. We found Sphagnum vitality and growth rate to be stimulated by high water levels, where Sphagnum is less vulnerable to fungal or algal infection despite high nutrient loads.
8. The rate of Sphagnum biomass accumulation may remain constant over at least 4–5 years after establishing a Sphagnum production field with sufficient water supply. At dry conditions Sphagnum biomass accumulation is lower as a result of lower biomass productivity and higher decomposition rates.
Changing climate can strongly affect tree growth and forest productivity. The dendrochronological approach to assessing the impact of climate change on tree growth is possible through climate–growth correlation analysis. This study uses an individual tree-based approach to model Pinus wallichiana (P. wallichiana) radial growth response to climate across the physiographic gradients in the lower distributional range of Nepal. This study sampled six sites across the Makwanpur district of central Nepal that varied in elevation and aspect, obtaining 180 tree-ring series. Climate data series were obtained from Climate Research Unit (CRU 4.0). The pair correlation approach was used to assess P. wallichiana growth response to climate and site-level physiographic variables such as site-level environmental stress. The study also determined long-term growth trends across the elevation and aspect gradients. Trees at sites with higher elevation and northeast aspect (NEA) were more responsive to winter and spring precipitation, whereas trees with lower elevation and northwest aspect (NWA) were more responsive to winter and spring precipitation. Basal area increment (BAI) analysis showed the variation of growth at site-level environmental stress, suggesting that the sensitivity of forest ecosystems to changing climate will vary across the lower growth limit of P. wallichiana due to differences in local physiographic conditions.
Northern peatlands are ecosystems with unique hydrological properties, storing about 400-500 Gt of carbon. As the production rate of organic material is higher than its decomposition, which is slowed down in the wet and cold environment, peatlands store a great amount of carbon. Carbon assimilated from the atmosphere during photosynthesis by plants is partly lost due to autotrophic and heterotrophic respiration as carbon dioxide (CO2), as methane (CH4) or/and as dissolved organic carbon. The proportion of each carbon component is strongly controlled by environmental conditions as temperature, radiation, precipitation and subsequent water table changes and active role of vegetation. With predicted changes in the global climate, changes in the influence of environmental parameters on peatland ecology are expected. Thus thorough research is essential for a better understanding of mechanisms which influence carbon cycling in peatlands. In this thesis, various components of the carbon cycle were studied at two boreal peatland sites (Ust Pojeg in Komi Republic in Russian Federation and Salmisuo in Eastern Finland) using the micrometeorological eddy covariance method. The focus was placed on the temporal changes of the controlling parameters, ranging from a few days during short snow thawing through the rest of the year. At the Salmisuo site, two measurement seasons allowed to address possible inter-annual variation. We observed that diurnal variations in methane emissions which are typically controlled by vegetation during the growing season, might appear during snow melt as a result of the influence of physical factors rather than biological factors. The diurnal pattern in methane emissions was caused by the interaction of the freeze-thaw cycle and near urface turbulence. During the night time, when surface temperatures fell below zero and caused formation of the ice layer, methane emissions were only around 0.8 mg m-2 h-1, however after the increase in temperature and melting of the ice layer they reached peak values of around 3 mg m-2 h-1. The near surface turbulence had a significant influence on methane emissions, however only after the thawing of the ice layer. The effect of changing environmental parameters over the year was further elaborated on a carbon dioxide time series from the Ust Pojeg site. The generally accepted effects of temperature on ecosystem respiration during the night are not stable throughout the year and can change rapidly during the growing season. Using moving window regression analysis I could show that the strength of the exponential relationship between ecosystem respiration and temperature is changing during the year. This was in correspondence with recent publications elaborating on sub-seasonal changes of the controlling parameters. In general, measurements from the Ust Pojeg site represent estimates of annual CO2 and CH4 fluxes with an annual carbon balance of -94.5 g C m-2 and a new contribution to the quantification of trace gases emissions from a Russian boreal peatland. The inter-annual comparison of net ecosystem exchange (NEE) measurements with previously published data on CH4 and DOC flux from the Salmisuo site showed that the NEE of CO2 is the most important component of the carbon balance at this site. However, primary production was not responsible for the inter-annual changes in NEE. Rather, the effects of water table position during the year had a strong influence on ecosystem respiration, which was probably due to the influence on soil respiration, and higher NEE was observed during the year with smaller primary production, but higher water table levels. The effects of higher precipitation and higher water table during the wet year were shown to increase CH4 flux and the export of DOC, but their effects could not compensate for changes in ecosystem respiration. In the presented thesis intra- and inter- annual changes in carbon flux components and their controls, in our case attributed mostly to hydrological conditions in combination with other environmental parameters as temperature and the role of peatland vegetation, are discussed.
Abstract
Drainage has turned 650,000 km2 of peatlands worldwide into greenhouse gas sources. To counteract climate change, large‐scale rewetting is necessary while agricultural use of rewetted areas, termed paludiculture, is still possible. However, more information is required on the performance of suitable species, such as cattail, in the range of environmental conditions after rewetting. We investigated productivity and biomass quality (morphological traits and tissue chemical composition) of Typha angustifolia and Typha latifolia along gradients of water table depth (−45 to +40 cm) and nutrient addition (3.6–400 kg N ha−1 a−1) in a six‐month mesocosm experiment with an emphasis on their high‐value utilization, e.g., as building material, paper, or biodegradable packaging. Over a wide range of investigated conditions, T. latifolia was more productive than T. angustifolia. Productivity was remarkably tolerant of low nutrient addition, suggesting that long‐term productive paludiculture is possible. Low water tables were beneficial for T. latifolia productivity and high water tables for T. angustifolia biomass quality. Rewetting will likely create a mosaic of different water table depths. Our findings that the yield of T. angustifolia and tissue chemical composition of T. latifolia were largely unaffected by water table depth are therefore promising. Depending on intended utilization, optimal cultivation conditions and preferable species differ. Considering yield or diameter, e.g., for building materials, T. latifolia is generally preferable over T. angustifolia. A low N, P, K content, high Si content and high C/N‐ratio can be beneficial for processing into disposable tableware, charcoal, or building material. For these utilizations, T. angustifolia is preferable at high water tables, and both species should be cultivated at a low nutrient supply. When cellulose and lignin contents are relevant, e.g., for paper and biodegradable packaging, T. angustifolia is preferable at high water tables and both species should be cultivated at nutrient additions of about 20 kg N ha−1 a−1.
Abstract: The Arctic has experienced a pronounced increase in air temperature over the last four decades, with an average increase of 0.4 °C per decade and thus an increase of almost the double rate than that of temperate regions. Remote sensing studies and repeat photography of historical images have shown large-scale increases of plant productivity in tundra ecosystems over the same time period. A pronounced size, abundance and biomass increase of shrubs has been observed. This so called shrub expansion has important repercussions for the vegetation, the animals, the soil, the energy and the carbon balance of the Arctic tundra and on regional and global climate. As the comparison of historical photographs with recent photographs has shown, this shrub expansion occurs on different temporal and spatial scales with areas of strong increase in shrub cover (expanding patches) and areas without noticeable changes in shrub vegetation (stable patches). While remote sensing approaches for the detection of changes in vegetation are limited in their temporal coverage and so far also in their resolution, historical photographs with high resolution are often not available. Experimental studies have shown that an increase in nutrients or temperature often resulted in increased shrub biomass, but findings were partly contradictory, referred to short term observations and usually confined to small areas. To bridge the gap between spatially limited plot-scale experiments and global large-scale assessment of plant productivity by satellite derived pictures, dendrochronology was used in this thesis to analyze the drivers for and the rate of shrub growth of different widespread evergreen and deciduous shrub species in alpine and arctic tundra and to reconstruct historic environmental conditions. In detail, this doctoral thesis was conducted to study shrub growth and to assess the applicability of traditional dendrochronological methods on shrubs that had been so far mainly applied to trees and to test whether shrubs differed morphologically from trees. Further, I was determined to look for evidence for a possible Scandinavian shrub range expansion and to assess which climatic factors – temperature, precipitation or snow – influenced shrub growth significantly. Moreover, we aimed to find the reason for the observed heterogeneity of the shrub expansion on the landscape and its relevance for the three most common shrubs on the Alaskan tundra. The methods applied followed the routines usually applied for dendrochronological analyses of treerings, with the exception that usually several stem discs of the main stem were analyzed and frequently had to be prepared with help of a microtome as thin-sections, that were stained and sealed on a coverglass before annual shrubrings were measured. The averaged shrubring widths were then compared with environmental factors through correlation and regression methods. This thesis gives first a general introduction to climate change in the Arctic, shrub expansion on the tundra, the scientific discipline of dendrochronology or -ecology on shrubs and its development, the main research questions and the thesis outline. Then seven research papers are presented and the main results and conclusions are synthesized and discussed and finally possible venues of future research are outlined. The most important insights gained from this thesis are the following: I) Dendroecological methods can be applied to shrubs. Insights into shrub morphology have been gained by detecting an interesting mechanism for coping with adverse environmental conditions of both, trees and shrubs that can save resources by confining the production of wood to the upper parts of the stem. II) Further, I found evidence for a shrub expansion in Scandinavia. III) I could establish the causal link between the current climate warming and increased radial and vertical shrub growth by identifying summer temperature as main driver for shrub growth. IV) Results from the Alaskan tundra indicate a strongly adverse role of snow for shrub growth in stable patches, refuting the popular snow-shrub-microbe hypothesis for this extensive area across species. The differing influence of snow is likely linked to the presence of permafrost and shallow active layers and the snow’s contribution to moist or even anoxic conditions in Alaska. V) Furthermore, we found that the different rates and the spatial heterogeneity of shrub expansion are accompanied by strong differences in the surrounding vegetation composition and the soil parameters of expanding (accustomed to more favorable conditions) and stable shrub patches. VI) These differences are predisposed by shrub patch position within the landscape, comprising different levels and rates of disturbance. VII) Additionally, shrub ring records were successfully used as natural archives to model past temperature dynamics respectively summer glacier mass balance with high accuracy. VIII) Finally, a synthesis of the climate-growth relationships of shrubs of more than 25 sites around the Arctic as joined effort together with other leading shrub researchers supports the presence of a circumpolar shrub expansion, gives recommendations for methods used in shrub dendroecology and lays out future research directions. The findings of my dissertation research show that the analysis of shrubs by dendroecological methods yields highly interesting results, and they greatly improved our understanding of factors that influence individual shrub growth, the reconstruction of earlier environmental conditions as well as the reconstruction and assessment of plant population dynamics.
Abstract
The role of future forests in global biogeochemical cycles will depend on how different tree species respond to climate. Interpreting the response of forest growth to climate change requires an understanding of the temporal and spatial patterns of seasonal climatic influences on the growth of common tree species. We constructed a new network of 310 tree‐ring width chronologies from three common tree species (Quercus robur, Pinus sylvestris and Fagus sylvatica) collected for different ecological, management and climate purposes in the south Baltic Sea region at the border of three bioclimatic zones (temperate continental, oceanic, southern boreal). The major climate factors (temperature, precipitation, drought) affecting tree growth at monthly and seasonal scales were identified. Our analysis documents that 20th century Scots pine and deciduous species growth is generally controlled by different climate parameters, and that summer moisture availability is increasingly important for the growth of deciduous species examined. We report changes in the influence of winter climate variables over the last decades, where a decreasing influence of late winter temperature on deciduous tree growth and an increasing influence of winter temperature on Scots pine growth was found. By comparing climate–growth responses for the 1943–1972 and 1973–2002 periods and characterizing site‐level growth response stability, a descriptive application of spatial segregation analysis distinguished sites with stable responses to dominant climate parameters (northeast of the study region), and sites that collectively showed unstable responses to winter climate (southeast of the study region). The findings presented here highlight the temporally unstable and nonuniform responses of tree growth to climate variability, and that there are geographical coherent regions where these changes are similar. Considering continued climate change in the future, our results provide important regional perspectives on recent broad‐scale climate–growth relationships for trees across the temperate to boreal forest transition around the south Baltic Sea.
Summary
Sphagnum farming can substitute peat with renewable biomass and thus help mitigate climate change. Large volumes of the required founder material can only be supplied sustainably by axenic cultivation in bioreactors.
We established axenic in vitro cultures from sporophytes of 19 Sphagnum species collected in Austria, Germany, Latvia, the Netherlands, Russia, and Sweden: S. angustifolium, S. balticum, S. capillifolium, S. centrale, S. compactum, S. cuspidatum, S. fallax, S. fimbriatum, S. fuscum, S. lindbergii, S. medium/divinum, S. palustre, S. papillosum, S. rubellum, S. russowii, S. squarrosum, S. subnitens, S. subfulvum and S. warnstorfii. These species cover five of the six European Sphagnum subgenera; namely, Acutifolia, Cuspidata, Rigida, Sphagnum and Squarrosa.
Their growth was measured in suspension cultures, whereas their ploidy was determined by flow cytometry and compared with the genome size of Physcomitrella patens. We identified haploid and diploid Sphagnum species, found that their cells are predominantly arrested in the G1 phase of the cell cycle, and did not find a correlation between plant productivity and ploidy. DNA barcoding was achieved by sequencing introns of the BRK1 genes.
With this collection, high‐quality founder material for diverse large‐scale applications, but also for basic Sphagnum research, is available from the International Moss Stock Center.
Lack of a shared vision has been identified as a major obstacle in transdisciplinary research involving both scientists and other stakeholders. Without a shared vision, the implementation of scientific findings is difficult. The diverse partners of collaborative research, however, imply a plurality in the valuation of nature and a need for deliberative mechanisms. If visioning processes are to do justice to local contexts, research must apply deliberative mechanisms to cover the plurality in the valuation of nature. This paper proposes a visioning approach for local communities, based on prior transdisciplinary research. This participatory workshop method invites stakeholders to approach nature conservation and livelihoods via a deliberation of desirable futures, barriers for achieving them and associated responsibilities for taking action. The paper explores this method via a case study of visioning workshops on sacred swamps in the Western Ghats (India), and their role for both freshwater swamp protection and livelihoods. The visioning exercise offered discussion opportunities facilitating conscientization, conciliation and collaboration in local bottom-up nature conservation. For conserving the tropical freshwater swamps, the results show the need for a more participatory forest governance, providing space for shared value creation. They also point to the need for further research on inter-faith nature conservation possibilities, along with innovations on value addition and value chain development for livelihood promotion and protection.
In wet peatlands, plant growth conditions are largely determined by local soil conditions, leading to locally adapted vegetation. Despite that Carex species are often the prevailing vascular plant species in fen peatlands of the temperate zone, information about how these species adapt to local environmental conditions is scarce. This holds true especially for below-ground plant traits and for adaptations to fen-typical nutrient level variations. To address this research gap, we investigated how different geographic origins (Germany, Poland, The Netherlands) of C. acutiformis and C. rostrata relate to their response to varying nutrient availability. We performed a common garden experiment with a controlled gradient of nutrient levels, and analyzed above- and below-ground biomass production of both Carex species from the different geographic origins. We related these traits to environmental conditions of the origins as characterized by vegetation composition-derived indicator values for ecological habitat conditions. While we detected high above-ground phenotypic plasticity of Carex from different origins, our data point to below-ground genotypic differences, potentially indicating local adaptation: Rhizome traits of C. rostrata differed significantly between origins with different nutrient indicator values. These results point towards differences in C. rostrata clonal spread behavior depending on local peatland conditions. Therefore, local adaptations of plant species and below-ground biomass traits should be taken into account when studying peatland vegetation ecology, as key functional traits can differ between genotypes within a single species depending on local conditions.
In Mitteleuropa kommen innerhalb der Gattung Diphasiastrum neben drei Ausgangsarten (D. alpinum, D. complanatum, D. tristachyum) drei Taxa hybridogenen Ursprungs vor (D. x issleri = D. alpinum x D. complanatum; D. x oellgaardii = D. alpinum x D. tristachyum; D. x zeilleri = D. complanatum x D. tristachyum). Alle sechs Taxa sind diploid. Die homoploiden Hybriden unterscheiden sich sowohl morphologisch als auch hinsichtlich ihres Kern-DNA-Gehaltes deutlich voneinander und nehmen eine intermediäre Stellung zwischen ihren Elternarten ein. Daher ist zu vermuten, dass es genetische Schranken für Rückkreuzungen gibt. Außer den regelmäßig auftretenden diploiden Hybriden konnten drei sehr seltene triploide Diphasiastrum-Hybriden nachgewiesen werden. Auf Grund ihres Kern-DNA-Gehaltes und der Morphologie kann auf folgende Kombinationen geschlossen werden:
Diphasiastrum alpinum x D. x issleri (Genomformel AAC),
Diphasiastrum alpinum x D. x oellgaardii (Genomformel AAT),
Diphasiastrum complanatum ssp. complanatum x D. x issleri (Genomformel ACC).
Es kann vermutet werden, dass diese triploiden Hybriden durch eine Kreuzbefruchtung zwischen einem diploiden Gametophyten, entstanden aus einer Diplospore, und einem haploiden Gametophyten hervorgegangen sind. Diplosporen könnten auch zur Vermehrung der diploiden Hybriden mittels Sporen beitragen; allerdings sind sie bei Flachbärlappen noch nicht experimentell eindeutig nachgewiesen. Bisherige Untersuchungen dreier genetischer Marker (cp, RPB, LFY) sowie die Ergebnisse einer AFLP-Analyse legen jedoch eine überwiegende de-novo-Entstehung durch primäre Kreuzungsereignisse nahe.
Die drei Elternarten unterscheiden sich hinsichtlich ihrer genetischen Diversität erheblich. Während von D. alpinum mindestens zwei genetische Linien existieren, ist D. tristachyum offensichtlich wenig variabel. Die größte genetische Vielfalt weist D. complanatum auf, für das eine sexuelle Reproduktion durch flowzytometrische Untersuchungen der gametophytischen Generation nachgewiesen werden konnte. Auch die Hybriden sind genetisch nicht einheitlich, was für unabhängige Entstehungsereignisse spricht.
Die Vertreter der Gattung Diphasiastrum weisen einen ausgeprägten Pioniercharakter auf und können Lebens-räume mit frühen Sukzessionsstadien erfolgreich besiedeln. Hier bilden sie durch ihr klonales Wachstum flächig ausgedehnte Bestände (Klone) aus. Diese können, längerfristig geeignete Standortbedingungen vorausgesetzt, ein Alter von vielen Jahrzehnten bis zu mehreren Hundert Jahren erreichen. Mit ihren staubfeinen Sporen sind Flachbärlappe auch zur Besiedlung von Gebieten, die von bestehenden Vorkommen weiter entfernt sind, mittels Langstreckentransport durch die Luft befähigt.
Flachbärlappe sind obligate Dunkelkeimer mit sich über mehrere Jahre erstreckenden Entwicklungszyklen. Die heterotrophen unterirdisch lebenden Gametophyten benötigen für Ihre Entwicklung Mykorrhizapilze. Funde von Gametophyten des Alpen-Flachbärlapps boten die Möglichkeit, den assoziierten Mykorrhizapilz morphologisch und genetisch zu untersuchen. Dieser wurde als zur Sebacinales-Gruppe B (Agariomycota) zugehörig identifiziert. Diese Pilzgruppe ist auch als Mykorrhizapartner von Ericaceen (Heidekrautgewächse) bekannt. Da keine Hinweise auf eine Mykorrhizierung des sporophytischen Bärlapp-Gewebes gefunden wurden, ist die Beziehung zwischen Pilz und Bärlapp möglicherweise nicht symbiotischer sondern parasitischer Natur. Der mykoheterotrophe Bärlapp-Gametophyt würde in diesem Fall epiparasitisch auf Vertretern der Ericaceen leben. Dies würde die regelmäßige Vergesellschaftung von Flachbärlappen mit verschiedenen Heidekrautgewächsen erklären. Eine ericoide Mykorrhiza bei Bärlappen, bestehend aus einem Netzwerk zwischen Ericaceen, Mykorrhizapilzen und Bärlapp-Gametophyten, wurde zuvor nicht beobachtet.
Die aktuelle Verbreitung der Flachbärlappe ist in den meisten Landesteilen Deutschlands und auch in einigen anderen Regionen Mitteleuropas weitgehend bekannt. Ihre früheren Arealbilder sind hingegen erst für Teilgebiete geklärt, was auf ihre schwierige Bestimmbarkeit und der über Jahrzehnte in der botanischen Literatur bestehenden taxonomischen Verwirrung zurückzuführen ist. Die frühere Verbreitung konnte auf der Basis kritischer Herbarrevisionen bislang für Niedersachsen und Bremen, Nordrhein-Westfalen, Thüringen und Teilgebiete Hessens und Bayerns rekonstruiert werden.
Die standortökologischen Ansprüche der Flachbärlapp-Sippen sind für Deutschland und einige Regionen angrenzender Länder hingegen gut untersucht. Es werden Sandböden mit unterschiedlich hohen Lehm- und Tonanteilen besiedelt, die relativ humusreich sind und größere Skelettanteile aufweisen können. Die Böden sind trocken bis frisch, reagieren sehr stark bis stark sauer (pH-Werte zwischen 2,9 und 4,5) und sind nährstoffarm (Stickstoffgehalte im Mittel zwischen 0,12 % und 0,25 %). Hinsichtlich ihrer Lichtansprüche unterscheiden sich die Flachbärlapp-Taxa erheblich. D. complanatum, D. tristachyum und ihre Hybride D. x zeilleri besiedeln recht heterogene Wuchsorte und sind sowohl an halbschattigen als auch lichtreichen Standorten zu finden (relativer Lichtgenuss meist zwischen 20 % und 80 %). D. alpinum und seine Hybriden D. x issleri und D. x oellgaardii bevorzugen dagegen offene Wuchsorte mit einem relativen Lichtgenuss zwischen 80 % und 100 %.
Die allermeisten Vorkommen von Flachbärlappen sind in Mitteleuropa heute an Sekundärstandorten anthropogenen Ursprungs zu finden. Primärstandorte stellen außerhalb des Alpenraumes die große Ausnahme dar. Die Vergesellschaftung der Flachbärlappe ist gut dokumentiert. Neben verschiedenen von Nadelhölzern dominierten Wald- und Forstgesellschaften (Leucobryo-Pinetum, Cladonio-Pinetum, Vaccinio myrtilli-Piceetum) treten sie in verschiedenen Vegetationstypen des Offenlandes mit lückiger und kurzrasiger Struktur auf (Vaccinio-Callunetum, Genisto anglicae-Callunetum, Violion- und Nardion-Gesellschaften, Festuca nigrescens-Agrostis capillaris-Bestände).
Die Flachbärlappe sind seit Jahrzehnten von einem dramatischen Bestandsrückgang betroffen und werden daher in den meisten nationalen Roten Listen Mitteleuropas als stark gefährdet oder sogar als vom Aussterben bedroht geführt. Hauptgrund ist das fast vollständige Verschwinden ihrer ehemaligen Lebensräume durch Aufgabe traditioneller Nutzungsformen und Änderungen in der forstlichen Bewirtschaftung. Die zunehmende Eutrophierung durch die ständig intensiver werdende Landwirtschaft stellt einen sukzessionsbeschleunigenden Faktor dar und bedingt, dass die Verweildauer eines Bestandes an einem Sekundärstandort ohne pflegende Eingriffe mittlerweile auf maximal 10 bis 15 Jahre gesunken sein dürfte. Allerdings lassen sich die Bestände durch das regelmäßige manuelle Entfernen bzw. Eindämmen pflanzlicher Konkurrenten stützen und ihre Überlebensdauer damit deutlich erhöhen, wie Erfahrungen im Rahmen diverser Artenhilfsprogramme in verschiedenen Teilen Deutschlands gezeigt haben. Auch die Flachbärlapp-Hybriden bilden langlebige und flächig ausgedehnte Klone aus und können fernab einer oder sogar beider Elternarten auftreten. Unabhängig von ihrer noch ungeklärten generativen Reproduktionsfähigkeit verhalten sie sich wie unabhängige Arten und sollten daher naturschutzfachlich auch als solche bewertet werden.
Der starke Rückgang sowie eine hohe internationale Verantwortlichkeit Deutschlands für einige Diphasiastrum-Taxa, speziell für D. x issleri und D. x oellgaardii, zeigen die dringende Notwendigkeit für gezielte Artenhilfsprogramme für diese faszinierende Pflanzengruppe.